UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

 

Washington, D.C. 20549

 

 

FORM N-Q

 

 

QUARTERLY SCHEDULE OF PORTFOLIO HOLDINGS OF REGISTERED

 

MANAGEMENT INVESTMENT COMPANIES

 

INVESTMENT COMPANY ACT FILE NUMBER: 811-10325

 

 

 

VANECK VECTORS ETF TRUST

(Exact name of registrant as specified in its charter)

 

 

  666 Third Avenue, New York, NY   10017  
  (Address of principal executive offices)   (Zip Code)  

 

 

Van Eck Associates Corporation

666 Third Avenue

New York, NY 10017

(Name and address of agent for service)

 

Registrant’s telephone number, including area code: (212) 293-2000

Date of fiscal year end:  April 30
Date of reporting period:  January 31, 2019

 

Form N-Q is to be used by management investment companies, other than small business investment companies registered on Form N-5 (§§ 239.24 and 274.5 of this chapter), to file reports with the Commission, not later than 60 days after the close of the first and third fiscal quarters, pursuant to rule 30b1 -5 under the Investment Company Act of 1940 (17 CFR 270.30b1-5). The Commission may use the information provided on Form N-Q in its regulatory, disclosure review, inspection, and policymaking roles.

 

A registrant is required to disclose the information specified by Form N -Q, and the Commission will make this information public. A registrant is not required to respond to the collection of information contained in Form N-Q unless the Form displays a currently valid Office of Management and Budget (“OMB”) control number. Please direct comments concerning the accuracy of the information collection burden estimate and any suggestions for reducing the burden to the Secretary, Securities and Exchange Commission, 100 F Street, Washington, DC 20549. The OMB has reviewed this collection of information under the clearance requirements of 44 U.S.C. § 3507.

 

 

ITEM 1. Schedule of Investments.

 

VANECK VECTORS BDC INCOME ETF

SCHEDULE OF INVESTMENTS

January 31, 2019 (unaudited)

 

Number
of Shares
      Value 
COMMON STOCKS: 99.8%
Diversified Financials: 19.5%
 324,713   Barings BDC, Inc.  $3,214,659 
 420,224   BlackRock TCP Capital Corp.   6,034,417 
 184,743   Fidus Investment Corp.   2,582,707 
 166,025   Monroe Capital Corp. †   1,998,941 
 145,797   Newtek Business Services Corp. †   2,812,424 
 892,918   Oaktree Specialty Lending Corp.   4,357,440 
 393,828   Oxford Square Capital Corp. †   2,678,030 
 482,699   TCG BDC, Inc. †   7,211,523 
 392,913   TPG Specialty Lending, Inc.   7,791,465 
         38,681,606 
Investment Companies: 80.3%
 509,682   Apollo Investment Corp.   7,798,134 
 2,330,440   Ares Capital Corp.   37,986,172 
 566,253   BlackRock Kelso Capital Corp.   3,493,781 
 3,973,410   FS Investment Corp. †   25,390,090 
 231,505   Gladstone Capital Corp.   2,007,148 
 266,544   Gladstone Investment Corp. †   2,923,988 
 274,412   Goldman Sachs BDC, Inc.   5,707,769 
 488,061   Golub Capital BDC, Inc. †   8,921,755 
 743,957   Hercules Technology Growth Capital, Inc.   9,775,595 
 485,908   Main Street Capital Corp. †   17,915,428 
 512,999   New Mountain Finance Corp.   7,202,506 
 314,857   PennantPark Floating Rate Capital Ltd. †   4,080,547 
 560,921   PennantPark Investment Corp.   4,027,413 
 2,445,590   Prospect Capital Corp. †   16,630,012 
 257,392   Solar Capital Ltd.   5,279,110 
         159,139,448 
Total Common Stocks
(Cost: $215,648,884)
   197,821,054 
MONEY MARKET FUND: 0.1%
(Cost: $149,815)
     
 149,815   Dreyfus Government Cash Management Fund - Institutional Shares   149,815 
Total Investments Before Collateral for Securities Loaned: 99.9%
(Cost: $215,798,699)
   197,970,869 
           
Principal
Amount
         
SHORT-TERM INVESTMENTS HELD AS COLLATERAL FOR SECURITIES ON LOAN: 21.9%     
Repurchase Agreements: 21.9%     
$10,301,744   Repurchase agreement dated 1/31/19 with Citigroup Global Markets, Inc., 2.57%, due 2/1/19, proceeds $10,302,479; (collateralized by various U.S. government and agency obligations, 0.00% to 9.50%, due 3/31/19 to 2/1/49, valued at $10,507,779 including accrued interest)   10,301,744 
 10,301,744   Repurchase agreement dated 1/31/19 with Daiwa Capital Markets America, Inc., 2.57%, due 2/1/19, proceeds $10,302,479; (collateralized by various U.S. government and agency obligations, 0.00% to 6.50%, due 2/7/19 to 9/9/49, valued at $10,507,779 including accrued interest)   10,301,744 
 2,165,913   Repurchase agreement dated 1/31/19 with Deutsche Bank Securities, Inc., 2.56%, due 2/1/19, proceeds $2,166,067; (collateralized by various U.S. government and agency obligations, 2.63%, due 12/15/21, valued at $2,209,232 including accrued interest)   2,165,913 
 10,301,744   Repurchase agreement dated 1/31/19 with Merrill Lynch, Pierce, Fenner & Smith, Inc., 2.57%, due 2/1/19, proceeds $10,302,479; (collateralized by various U.S. government and agency obligations, 2.00% to 10.50%, due 2/15/19 to 1/1/49, valued at $10,507,779 including accrued interest)   10,301,744 
 10,301,744   Repurchase agreement dated 1/31/19 with Mizuho Securities USA, Inc., 2.57%, due 2/1/19, proceeds $10,302,479; (collateralized by various U.S. government and agency obligations, 0.00% to 3.50%, due 4/18/19 to 2/1/48, valued at $10,507,780 including accrued interest)   10,301,744 
Total Short-Term Investments Held as Collateral for Securities on Loan
(Cost: $43,372,889)
   43,372,889 
Total Investments: 121.8%
(Cost: $259,171,588)
   241,343,758 
Liabilities in excess of other assets: (21.8)%   (43,142,083)
NET ASSETS: 100.0%  $198,201,675 

 

Footnotes:

Security fully or partially on loan. Total market value of securities on loan is $42,348,360.

 

Summary of Investments
by Sector Excluding
Collateral for Securities
Loaned
  % of
Investments
  Value 
Financial     99.9%     $197,821,054 
Money Market Fund   0.1    149,815 
    100.0%  $197,970,869 

 

The summary of inputs used to value the Fund’s investments as of January 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Common Stocks*  $197,821,054   $   $   —   $197,821,054 
Money Market Fund   149,815            149,815 
Repurchase Agreements       43,372,889        43,372,889 
Total  $197,970,869   $43,372,889   $   $241,343,758 

 

* See Schedule of Investments for industry sector breakouts.

 

See Notes to Schedules of Investments

 

VANECK VECTORS CHINAAMC CHINA BOND ETF

SCHEDULE OF INVESTMENTS

January 31, 2019 (unaudited)

 

Principal
Amount
      Value 
CORPORATE BONDS: 60.1%     
Consumer, Cyclical: 6.1%     
CNY1,400,000   China South Industries Group Co. Ltd
4.45%, 04/19/19 (p)
  $209,379 
 500,000   Sinochem International Corp.
3.61%, 06/06/21
   74,487 
         283,866 
Consumer, Non-cyclical: 3.8%     
 1,135,000   Jiangxi Ganyue Expressway Co. Ltd.
5.15%, 04/19/23
   177,160 
Energy: 4.0%     
 1,200,000   China Petroleum & Chemical Corp.
4.90%, 06/01/22
   186,490 
Financial: 32.7%     
 3,600,000   China Development Bank Corp.
3.91%, 04/06/22
   550,331 
 1,000,000   China Fortune Land Development Co. Ltd.
5.10%, 10/22/20 (p)
   148,033 
 1,000,000   China Merchants Securities Co. Ltd.
5.08%, 05/26/25
   157,759 
 1,000,000   China Overseas Property Group Co. Ltd.
3.85%, 11/19/20 (p)
   150,086 
 809,000   China Securities Co. Ltd.
3.14%, 05/20/19 (c) (p)
   120,639 
 1,000,000   Dalian Wanda Commercial Management Group Co. Ltd.
3.95%, 05/06/19 (p)
   149,010 
 1,000,000   Guangzhou Yue Xiu Holdings Ltd.
5.20%, 02/28/20 (p)
   151,984 
 600,000   Poly Real Estate Group Co. Ltd.
4.00%, 01/15/21 (p)
   90,147 
         1,517,989 
Industrial: 13.5%     
 1,248,200   China Railway Corp.
4.63%, 08/25/21
   191,410 
 500,000   Hubei Provincial Communications Investment Co. Ltd.
6.68%, 03/27/19 (p)
   83,535 
 1,000,000   Power Construction Corp. of China Ltd.
5.20%, 10/29/22
   156,102 
 1,260,000   Tianjin Infrastructure Construction & Investment Group Co. Ltd.
5.70%, 02/26/23 #
   193,633 
         624,680 
Total Corporate Bonds
(Cost: $2,839,618)
   2,790,185 
GOVERNMENT OBLIGATIONS: 24.0%     
Government: 24.0%     
     China Government Bonds     
 500,000   3.27%, 08/22/46   68,608 
 5,347,000   3.40%, 04/17/23   807,941 
 1,541,000   4.26%, 07/31/21   237,339 
Total Government Obligations
(Cost: $1,171,772)
   1,113,888 
Total Investments: 84.1%
(Cost: $4,011,390)
   3,904,073 
Other assets less liabilities: 15.9%   735,895 
NET ASSETS: 100.0%  $4,639,968 

 

Definitions:

CNY Chinese Yuan

 

Footnotes:

(c) Callable Security - the redemption date shown is when the security may be redeemed by the issuer
(p) Puttable Security - the redemption date shown is when the security may be redeemed by the investor
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $193,633 which represents 4.2% of net assets.

 

Summary of Investments
by Sector
  % of
Investments
  Value 
Consumer, Cyclical     7.3%     $283,866 
Consumer, Non-cyclical   4.5    177,160 
Energy   4.8    186,490 
Financial   38.9    1,517,989 
Government   28.5    1,113,888 
Industrial   16.0    624,680 
    100.0%  $3,904,073 

 

The summary of inputs used to value the Fund’s investments as of January 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Corporate Bonds*  $   $2,790,185   $   —   $2,790,185 
Government Obligations*       1,113,888        1,113,888 
Total  $   $3,904,073   $   $3,904,073 

 

* See Schedule of Investments for industry sector breakouts.

 

See Notes to Schedules of Investments

 

VANECK VECTORS EMERGING MARKETS AGGREGATE BOND ETF

SCHEDULE OF INVESTMENTS

January 31, 2019 (unaudited)

 

Principal
Amount
      Value 
CORPORATE BONDS: 35.7%     
Argentina: 0.7%     
USD 30,000   Pan American Energy LLC Reg S
7.88%, 05/07/21
  $30,861 
     YPF SA Reg S     
 100,000   8.50%, 07/28/25   98,275 
 50,000   8.75%, 04/04/24   50,375 
         179,511 
Austria: 0.2%     
 64,000   JBS Investments GmbH Reg S
6.25%, 03/06/19 (c)
   64,560 
Bermuda: 0.5%     
 100,000   Digicel Group Two Ltd. 144A
9.13% 03/04/19 (c)
   44,000 
 100,000   Ooredoo International Finance Ltd. Reg S
3.25%, 02/21/23
   97,895 
         141,895 
Brazil: 1.2%     
 50,000   Banco Bradesco SA 144A
5.90%, 01/16/21
   51,900 
 50,000   Banco do Brasil SA Reg S
5.88%, 01/26/22
   52,092 
 100,000   8.50% (US Treasury Yield Curve Rate T 10 Year+7.78%), 10/20/20 (c)   106,851 
 50,000   Banco Nacional de Desenvolvimento Economico e Social 144A
5.75%, 09/26/23
   53,437 
 40,000   Itau Unibanco Holding SA 144A
6.20%, 04/15/20
   41,200 
         305,480 
British Virgin Islands: 3.0%     
 100,000   China Cinda Finance I Ltd. Reg S
4.25%, 04/23/25
   98,697 
 57,000   CNOOC Finance Ltd. Reg S
3.88%, 05/02/22
   57,614 
 100,000   CNPC General Capital Ltd. 144A
3.95%, 04/19/22
   101,621 
 100,000   Gerdau Trade, Inc. Reg S
5.75%, 01/30/21
   104,325 
 200,000   Huarong Finance II Co. Ltd. Reg S
5.50%, 01/16/25
   205,391 
 100,000   Sinopec Group Overseas Development Ltd. Reg S
4.38%, 10/17/23
   103,206 
 100,000   State Grid Overseas Investment 2014 Ltd. 144A
4.13%, 05/07/24
   102,745 
         773,599 
Canada: 0.4%     
 50,000   First Quantum Minerals Ltd. 144A
7.50%, 04/01/20 (c)
   47,063 
 50,000   First Quantum Minerals Ltd. Reg S
7.00%, 03/04/19 (c)
   49,969 
         97,032 
Cayman Islands: 4.0%     
 100,000   Alibaba Group Holding Ltd. 144A
3.60%, 08/28/24 (c)
   100,814 
 100,000   China Overseas Finance Cayman VI Ltd. Reg S
4.25%, 05/08/19
   100,203 
 75,000   CK Hutchison International 17 Ltd. Reg S
2.88%, 04/05/22
   73,911 
 50,000   Comunicaciones Celulares SA Reg S
6.88%, 03/04/19 (c)
   51,824 
 200,000   DIB Sukuk Ltd. Reg S
3.63%, 02/06/23
   195,980 
 75,000   Hutchison Whampoa International 11 Ltd. Reg S
4.63%, 01/13/22
   77,603 
 100,000   Saudi Electricity Global Sukuk Co. 2 144A
3.47%, 04/08/23
   98,887 
 200,000   Swire Pacific MTN Financing Ltd. Reg S
4.50%, 10/09/23
   207,923 
     Vale Overseas Ltd.     
 60,000   4.38%, 01/11/22 †   60,618 
 75,000   6.88%, 11/21/36   83,906 
         1,051,669 
Chile: 0.4%     
 100,000   Cencosud SA 144A
4.88%, 01/20/23
   100,083 
China / Hong Kong: 2.4%     
 100,000   AIA Group Ltd. 144A
3.20%, 12/11/24 (c)
   97,517 
 200,000   Bank of China Ltd. Reg S
5.00%, 11/13/24
   208,523 
 100,000   Bank of East Asia Ltd. Reg S
6.13%, 07/16/20
   103,550 
 100,000   China Construction Bank Asia Corp. Ltd. Reg S
1.50%, 02/11/20
   115,932 
 100,000   Industrial & Commercial Bank of China Ltd. Reg S
6.00% (US Treasury Yield Curve Rate T 5 Year+4.38%), 12/10/19 (c)
   101,266 
         626,788 
Colombia: 1.3%     
 100,000   Banco de Bogota SA 144A
6.25%, 05/12/26
   104,850 
 100,000   Bancolombia SA
4.88% (US Treasury Yield Curve Rate T 5 Year+2.93%), 10/18/22 (c)
   99,205 
 100,000   Ecopetrol SA
5.38%, 03/26/26 (c)
   104,000 
 110,857,000   Empresas Públicas de Medellín ESP Reg S
8.38%, 02/01/21
   35,976 
         344,031 
Curacao: 0.1%     
 40,000   Teva Pharmaceutical Finance Co. BV
2.95%, 12/18/22
   37,339 
Czech Republic: 0.2%     
EUR 50,000   CEZ AS Reg S
4.50%, 06/29/20
   60,805 
France: 0.2%     
 50,000   mFinance France SA Reg S
2.00%, 11/26/21
   58,803 
India: 0.5%     
USD 28,000   ICICI Bank Ltd. Reg S
5.75%, 11/16/20
   28,819 
 100,000   State Bank of India/London 144A
4.88%, 04/17/24
   103,124 
         131,943 
Indonesia: 1.5%     
 100,000   Indonesia Asahan Aluminium Persero PT 144A
5.71%, 11/15/23
   105,419 
     Pertamina Persero PT 144A     
 70,000   4.30%, 05/20/23   70,975 
 100,000   6.45%, 05/30/44   111,282 
 100,000   Perusahaan Listrik Negara PT Reg S
4.13%, 05/15/27
   96,678 
         384,354 
Ireland: 0.8%     
 100,000   MMC Norilsk Nickel OJSC Via MMC Finance DAC 144A
4.10%, 04/11/23
   97,421 
 50,000   Vnesheconombank 144A
5.94%, 11/21/23
   50,724 
 50,000   VTB Bank PJSC Via VTB Eurasia DAC 144A
9.50% (US Treasury Yield Curve Rate T 10 Year+8.07%), 12/06/22 (c)
   50,325 
         198,470 
Israel: 0.4%     
 100,000   Israel Electric Corp. Ltd. 144A Reg S
5.00%, 11/12/24
   105,300 
Kazakhstan: 0.4%
 100,000   KazMunayGas National Co. JSC 144A
6.38%, 10/24/48
   107,110 
           
Luxembourg: 1.7%     
     Gaz Capital SA Reg S     
 100,000   6.51%, 03/07/22   105,630 
 60,000   8.63%, 04/28/34 (p)   76,029 
 100,000   Gazprom Neft OAO 144A
4.38%, 09/19/22
   99,282 
 100,000   Gazprom OAO Via Gaz Capital SA Reg S
7.29%, 08/16/37
   115,173 
 50,000   Sberbank of Russia 144A
5.13%, 10/29/22
   50,260 
         446,374 
Malaysia: 0.4%     
 100,000   Petronas Capital Ltd. Reg S
7.88%, 05/22/22
   113,834 
Mexico: 3.4%     
 125,000   America Movil SAB de CV
6.13%, 03/30/40
   151,418 
 100,000   BBVA Bancomer SA 144A
6.75%, 09/30/22
   106,870 
 100,000   Comision Federal de Electricidad Reg S
4.88%, 01/15/24
   100,125 
 100,000   Grupo Bimbo SAB de CV 144A
3.88%, 06/27/24
   98,946 
     Petróleos Mexicanos     
 50,000   5.50%, 01/21/21   50,288 
 150,000   6.50%, 03/13/27   144,210 
 64,000   6.63%, 06/15/38   57,120 
 50,000   6.75%, 09/21/47   43,701 
 110,000   Petróleos Mexicanos Reg S
5.50%, 02/24/25
   134,265 
         886,943 
Netherlands: 5.6%     
 100,000   Bharti Airtel International Netherlands BV 144A
5.13%, 03/11/23
   100,506 
 50,000   Braskem Netherlands Finance BV 144A
4.50%, 01/10/28
   48,875 
 200,000   ICTSI Treasury BV Reg S
5.88%, 09/17/25
   205,384 
 50,000   Kazakhstan Temir Zholy Finance BV 144A
6.95%, 07/10/42
   55,771 
 100,000   Lukoil International Finance BV Reg S
6.66%, 06/07/22
   106,920 
 100,000   MDC-GMTN BV 144A
5.00%, 11/15/20
   103,067 
     MDC-GMTN BV Reg S     
 75,000   5.50%, 03/01/22   79,529 
EUR 100,000   5.88%, 03/14/21   128,813 
 50,000   Metinvest BV 144A
7.75%, 01/23/23 (c)
   47,806 
 100,000   Myriad International Holdings BV 144A
6.00%, 07/18/20
   103,152 
     Petrobras Global Finance BV     
 12,000   4.38%, 05/20/23   11,994 
 100,000   4.75%, 01/14/25   125,611 
USD 50,000   6.00%, 01/27/28   49,890 
 60,000   6.75%, 01/27/41   60,163 
EUR100,000   Teva Pharmaceutical Finance Netherlands II BV Reg S
1.13%, 10/15/24
   101,864 
     Teva Pharmaceutical Finance Netherlands III BV     
USD40,000   2.20%, 07/21/21   37,832 
 55,000   2.80%, 07/21/23   49,760 
 45,000   3.15%, 10/01/26   37,432 
         1,454,369 
Peru: 0.8%     
 200,000   Banco de Credito del Peru Reg S
4.25%, 04/01/23
   203,000 
South Africa: 0.4%     
 100,000   Eskom Holdings SOC Ltd. 144A
5.75%, 01/26/21
   98,195 
Thailand: 0.4%     
 100,000   Bangkok Bank PCL/Hong Kong 144A
4.80%, 10/18/20
   102,253 
Turkey: 1.3%     
 50,000   Turkiye Garanti Bankasi AS Reg S
5.25%, 09/13/22
   48,128 
 125,000   Turkiye Is Bankasi AS 144A
6.13%, 04/25/24
   111,955 
 100,000   Turkiye Vakiflar Bankasi TAO 144A
6.00%, 11/01/22
   90,142 
 100,000   Yapi ve Kredi Bankasi AS 144A
6.10%, 03/16/23
   93,048 
         343,273 
United Arab Emirates: 0.9%     
 100,000   DP World Ltd. Reg S
6.85%, 07/02/37
   117,113 
 100,000   Emirates Telecommunications Group Co. PJSC Reg S
2.75%, 06/18/26
   126,389 
         243,502 
United Kingdom: 1.0%     
     Anglo American Capital Plc Reg S     
 50,000   3.63%, 09/11/24   48,428 
 50,000   4.75%, 04/10/27   49,948 
 50,000   AngloGold Ashanti Holdings Plc
5.13%, 08/01/22
   51,125 
 25,000   DTEK Finance Plc
10.75% 03/04/19 (c)
   24,213 
 100,000   Vedanta Resources Plc Reg S
6.38%, 07/30/22
   96,925 
         270,639 
United States: 1.6%     
 100,000   Cemex Finance LLC 144A
6.00%, 04/01/19 (c)
   102,151 
 100,000   DAE Funding LLC Reg S
5.00%, 08/01/20 (c)
   98,550 
 100,000   Reliance Holding USA, Inc. 144A
5.40%, 02/14/22
   104,252 
 100,000   Southern Copper Corp.
7.50%, 07/27/35
   121,250 
         426,203 
Total Corporate Bonds
(Cost: $9,307,998)
   9,357,357 
GOVERNMENT OBLIGATIONS: 62.5%     
Angola: 0.2%     
 50,000   Angolan Government International Bond 144A
8.25%, 05/09/28
   51,648 
Argentina: 0.4%     
EUR 120,000   Provincia de Buenos Aires Reg S
4.00%, 05/15/35 (s)
   95,470 
Bahrain: 0.5%     
     Bahrain Government International Bond 144A     
USD 64,000   6.13%, 08/01/23   67,122 
 50,000   6.75%, 09/20/29   50,794 
         117,916 
Brazil: 5.1%     
     Brazil Letras do Tesouro Nacional     
BRL 380,000   0.00%, 01/01/20 ^   98,559 
 790,000   0.00%, 07/01/20 ^   198,167 
 360,000   0.00%, 07/01/21 ^   83,394 
 320,000   0.00%, 01/01/22 ^   70,890 
 130,000   0.00%, 07/01/22 ^   27,556 
     Brazil Notas do Tesouro Nacional, Series F     
 515,000   10.00%, 01/01/21   148,647 
 635,000   10.00%, 01/01/23   184,961 
 450,000   10.00%, 01/01/25   131,515 
 380,000   10.00%, 01/01/27   111,184 
 95,000   10.00%, 01/01/29   27,961 
     Brazilian Government International Bonds     
USD 100,000   4.25%, 01/07/25 †   101,125 
 88,000   4.88%, 01/22/21 †   90,772 
 50,000   7.13%, 01/20/37   58,937 
         1,333,668 
Bulgaria: 0.5%     
EUR 100,000   Bulgaria Government International Bond Reg S
2.95%, 09/03/24
   131,335 
Cayman Islands: 0.7%     
     KSA Sukuk Ltd. 144A     
USD 50,000   2.89%, 04/20/22   49,223 
 140,000   3.63%, 04/20/27   137,789 
         187,012 
Chile: 2.5%     
     Bonos de la Tesoreria de la Republica de Chile     
CLP 5,000,000   4.50%, 03/01/21   7,806 
 65,000,000   4.50%, 03/01/26   101,771 
 30,000,000   5.00%, 03/01/35   48,271 
 25,000,000   6.00%, 01/01/43   45,780 
     Chile Government International Bonds     
USD 100,000   3.13%, 03/27/25   99,265 
CLP 9,000,000   5.50%, 08/05/20   14,176 
     Corp. Nacional del Cobre de Chile Reg S     
EUR 100,000   2.25%, 07/09/24   121,900 
USD 100,000   6.15%, 10/24/36   118,780 
 100,000   Empresa Nacional del Petroleo Reg S
4.75%, 12/06/21
   102,157 
         659,906 
China / Hong Kong: 0.4%     
 100,000   Export-Import Bank of China Reg S
3.63%, 07/31/24
   100,492 
Colombia: 2.6%     
     Colombia Government International Bond     
 50,000   4.00%, 11/26/23 (c)   50,713 
 100,000   5.00%, 12/15/44 (c)   101,351 
 50,000   6.13%, 01/18/41   57,000 
     Columbian TES     
COP 222,200,000   6.00%, 04/28/28   68,538 
 252,500,000   7.00%, 05/04/22   85,014 
 268,100,000   7.50%, 08/26/26   92,015 
 185,500,000   7.75%, 09/18/30   63,874 
 239,400,000   10.00%, 07/24/24   90,763 
 191,200,000   11.00%, 07/24/20   66,861 
         676,129 
Croatia: 0.3%     
USD 75,000   Croatia Government International Bonds 144A
6.00%, 01/26/24
   82,654 
Czech Republic: 0.8%     
     Czech Republic Government Bonds     
CZK 370,000   02/10/20   16,196 
 550,000   2.75%, 07/23/29   26,698 
     Czech Republic Government Bonds Reg S     
 250,000   0.45%, 10/25/23   10,563 
 690,000   0.95%, 05/15/30   27,716 
 730,000   1.00%, 06/26/26   30,934 
 970,000   2.40%, 09/17/25   45,280 
 940,000   2.50%, 08/25/28   44,950 
         202,337 
Dominican Republic: 0.5%     
     Dominican Republic International Bonds Reg S     
USD 50,000   5.95%, 01/25/27   51,563 
 50,000   6.85%, 01/27/45   51,875 
 21,200   7.50%, 05/06/21   22,016 
         125,454 
Ecuador: 0.4%     
 50,000   Ecuador Government International Bond 144A
7.95%, 06/20/24
   47,573 
 50,000   Ecuador Government International Bond Reg S
7.88%, 01/23/28
   44,523 
         92,096 
Egypt: 0.6%     
     Egypt Government International Bond 144A     
 60,000   6.13%, 01/31/22   59,950 
 50,000   7.50%, 01/31/27   49,671 
 50,000   8.50%, 01/31/47   48,270 
         157,891 
El Salvador: 0.1%     
 30,000   El Salvador Government International Bonds Reg S
7.65%, 06/15/35
   30,140 
Hungary: 1.6%     
     Hungary Government Bonds     
HUF 12,900,000   1.75%, 10/26/22   47,151 
 2,600,000   2.50%, 10/27/21   9,787 
 8,000,000   3.00%, 06/26/24   30,459 
 11,450,000   3.00%, 10/27/27   42,367 
 12,020,000   5.50%, 06/24/25   51,713 
 8,800,000   6.00%, 11/24/23   38,321 
 8,300,000   7.00%, 06/24/22   35,645 
 16,830,000   7.50%, 11/12/20   68,681 
USD 100,000   Hungary Government International Bonds
6.38%, 03/29/21
   106,187 
         430,311 
Indonesia: 5.3%     
     Indonesia Government International Bond Reg S     
 192,000   5.88%, 03/13/20   197,753 
 75,000   7.75%, 01/17/38   100,621 
 100,000   8.50%, 10/12/35   139,641 
     Indonesia Treasury Bonds     
IDR 799,000,000   5.63%, 05/15/23   52,766 
 1,262,000,000   6.13%, 05/15/28   78,443 
 848,000,000   6.63%, 05/15/33   51,405 
 1,035,000,000   7.00%, 05/15/22   72,734 
 1,046,000,000   7.00%, 05/15/27   69,359 
 855,000,000   8.25%, 07/15/21   62,033 
 1,460,000,000   8.25%, 05/15/36   102,349 
 1,190,000,000   8.38%, 03/15/24   86,445 
 1,809,000,000   8.38%, 09/15/26   130,899 
 898,000,000   8.38%, 03/15/34   63,883 
 118,000,000   8.75%, 05/15/31   8,660 
 1,030,000,000   9.00%, 03/15/29   77,534 
 589,000,000   10.50%, 08/15/30   48,772 
 722,000,000   11.00%, 11/15/20   54,975 
         1,398,272 
Israel: 2.1%     
     Israel Government Bonds     
ILS 230,000   1.75%, 08/31/25   63,884 
 50,000   3.75%, 03/31/24   15,464 
 405,000   4.25%, 03/31/23   126,252 
 185,000   5.00%, 01/31/20   53,269 
 190,000   5.50%, 01/31/22   59,663 
 170,000   5.50%, 01/31/42   66,231 
 180,000   6.25%, 10/30/26   65,744 
     Israel Government International Bond     
USD 50,000   4.00%, 06/30/22   51,768 
 50,000   4.50%, 01/30/43   52,282 
         554,557 
Jamaica: 0.2%     
 50,000   Jamaica Government International Bond
6.75%, 04/28/28
   55,237 
Kazakhstan: 0.2%     
 50,000   Kazakhstan Government International Bond Reg S
5.13%, 07/21/25
   53,954 
Kuwait: 0.2%     
 40,000   Kuwait International Government Bond 144A
3.50%, 03/20/27
   40,166 
Latvia: 0.5%     
EUR 100,000   Latvia Government International Bond Reg S
2.88%, 04/30/24
   129,730 
Lebanon: 0.5%     
USD 140,000   Lebanon Government International Bond Reg S
8.25%, 04/12/21
   134,050 
Lithuania: 0.2%     
 50,000   Lithuania Government International Bond Reg S
7.38%, 02/11/20
   52,160 
Malaysia: 4.2%     
     Malaysia Government Bonds     
MYR 210,000   3.42%, 08/15/22   50,792 
 425,000   3.48%, 03/15/23   102,488 
 207,000   3.66%, 10/15/20   50,663 
 210,000   3.73%, 06/15/28   49,934 
 210,000   3.80%, 09/30/22   51,377 
 310,000   3.84%, 04/15/33   71,037 
 315,000   3.89%, 03/15/27   76,082 
 132,000   3.90%, 11/16/27   31,786 
 227,000   3.96%, 09/15/25   55,370 
 205,000   4.06%, 09/30/24   50,343 
 230,000   4.16%, 07/15/21   56,886 
 203,000   4.18%, 07/15/24   50,172 
 210,000   4.23%, 06/30/31   50,914 
 160,000   4.38%, 11/29/19   39,365 
 205,000   4.39%, 04/15/26   51,267 
 205,000   4.50%, 04/15/30   51,202 
 213,000   4.74%, 03/15/46   51,519 
 230,000   4.76%, 04/07/37   57,529 
 100,000   Wakala Global Sukuk Bhd Reg S
4.65%, 07/06/21
   103,321 
         1,102,047 
Mexico: 5.8%     
     Mexican Bonos     
MXN 1,314,000   5.75%, 03/05/26   59,477 
 2,128,000   6.50%, 06/10/21   107,836 
 2,150,000   6.50%, 06/09/22   107,412 
 850,000   7.25%, 12/09/21   43,594 
 2,070,100   7.50%, 06/03/27   102,761 
 1,146,000   7.75%, 05/29/31   56,371 
 477,000   7.75%, 11/23/34   23,060 
 1,582,000   7.75%, 11/13/42   74,678 
 2,266,900   8.00%, 06/11/20   118,807 
 1,756,000   8.00%, 12/07/23   91,553 
 1,070,000   8.50%, 05/31/29   56,194 
 1,100,000   8.50%, 11/18/38   56,414 
 2,145,000   10.00%, 12/05/24   121,752 
 780,000   10.00%, 11/20/36   45,682 
     Mexico Government International Bonds     
USD 77,000   4.00%, 10/02/23   77,941 
 140,000   4.75%, 03/08/44   132,300 
 125,000   5.55%, 01/21/45   132,031 
 102,000   6.05%, 01/11/40   111,690 
         1,519,553 
Nigeria: 0.6%     
NGN 18,470,000   Nigeria Government Bonds
16.39%, 01/27/22
   53,063 
 100,000   Nigeria Government International Bond 144A
6.50%, 11/28/27
   95,804 
         148,867 
Oman: 0.4%     
     Oman Government International Bond 144A     
USD 75,000   5.63%, 01/17/28   68,505 
 50,000   6.75%, 01/17/48   42,792 
         111,297 
Panama: 0.5%     
     Panama Government International Bond     
 50,000   3.88%, 12/17/27 (c)   51,051 
 69,400   7.13%, 01/29/26   83,360 
         134,411 
Peru: 1.4%     
     Peru Government Bonds     
PEN 90,000   5.70%, 08/12/24   28,134 
 135,000   6.35%, 08/12/28   42,825 
 60,000   6.90%, 08/12/37   19,402 
 137,000   6.95%, 08/12/31   44,840 
 110,000   7.84%, 08/12/20   35,413 
 139,000   8.20%, 08/12/26   49,189 
 148,000   Peru Government Bonds 144A Reg S
6.15%, 08/12/32
   45,271 
     Peru Government International Bond     
USD 62,000   7.35%, 07/21/25   76,943 
 25,000   8.75%, 11/21/33   37,813 
         379,830 
Philippines: 0.8%     
     Philippine Government International Bonds     
 142,000   5.00%, 01/13/37   162,827 
 25,000   9.50%, 02/02/30   37,758 
         200,585 
Poland: 3.6%     
     Republic of Poland Government Bond     
PLN 280,000   1.50%, 04/25/20   75,596 
 370,000   1.75%, 07/25/21   100,300 
 256,000   2.25%, 04/25/22   69,865 
 70,000   2.50%, 01/25/23   19,260 
 310,000   2.50%, 07/25/26   83,099 
 275,000   2.50%, 07/25/27   73,332 
 230,000   2.75%, 04/25/28   62,129 
 260,000   3.25%, 07/25/25   73,645 
 285,000   4.00%, 10/25/23   83,563 
 160,000   5.25%, 10/25/20   45,928 
 150,000   5.75%, 10/25/21   44,895 
 200,000   5.75%, 09/23/22   61,217 
 150,000   5.75%, 04/25/29   51,226 
 100,000   Republic of Poland Government International Bonds
5.00%, 03/23/22
   105,967 
         950,022 
Qatar: 1.1%     
USD160,000   Qatar Government International Bond 144A
3.88%, 04/23/23
   163,300 
 100,000   Qatar Government International Bond Reg S
6.40%, 01/20/40
   125,612 
         288,912 
Romania: 1.6%     
     Romania Government Bonds     
RON 100,000   2.25%, 02/26/20   23,971 
 80,000   3.25%, 03/22/21   19,199 
 80,000   3.40%, 03/08/22   18,943 
 120,000   4.75%, 02/24/25   29,262 
 130,000   5.80%, 07/26/27   33,793 
 290,000   5.85%, 04/26/23   73,821 
 70,000   5.95%, 06/11/21   17,700 
     Romanian Government International Bonds Reg S     
EUR 75,000   2.75%, 10/29/25   92,326 
 50,000   4.63%, 09/18/20   61,621 
USD 50,000   4.88%, 01/22/24   52,010 
         422,646 
Russia: 3.3%     
     Russian Federal Bonds     
RUB 3,400,000   6.40%, 05/27/20   51,128 
 3,300,000   7.00%, 12/15/21   49,566 
 1,900,000   7.00%, 08/16/23   28,089 
 3,780,000   7.05%, 01/19/28   54,336 
 3,690,000   7.10%, 10/16/24   54,392 
 5,030,000   7.40%, 12/07/22   76,014 
 2,930,000   7.50%, 08/18/21   44,588 
 5,260,000   7.70%, 03/23/33   77,921 
 3,490,000   7.75%, 09/16/26   52,874 
 4,080,000   8.15%, 02/03/27   63,089 
 3,300,000   8.50%, 09/17/31   52,137 
USD 150,000   Russian Federal Bonds 144A
5.00%, 04/29/20
   153,272 
     Russian Foreign Bonds Reg S     
 20,750   7.50%, 03/31/30 (s)   23,036 
 45,000   12.75%, 06/24/28 (p)   72,413 
         852,855 
Saudi Arabia: 0.5%     
 150,000   Saudi Government International Bond 144A
4.50%, 10/26/46
   140,245 
Serbia: 0.2%     
 50,000   Serbia International Bond 144A
4.88%, 02/25/20
   50,683 
South Africa: 3.9%     
     Republic of South Africa Government Bonds     
ZAR 1,173,000   7.00%, 02/28/31   74,353 
 1,229,300   7.75%, 02/28/23   92,702 
 1,668,000   8.00%, 01/31/30   116,371 
 1,200,000   8.25%, 03/31/32   83,046 
 1,157,000   8.50%, 01/31/37   79,520 
 1,275,000   8.75%, 01/31/44   88,095 
 1,880,000   8.75%, 02/28/48   129,857 
 1,150,000   8.88%, 02/28/35   82,499 
 95,000   9.00%, 01/31/40   6,780 
 1,805,000   10.50%, 12/21/26   150,548 
     Republic of South Africa Government International Bond     
USD 50,000   4.30%, 10/12/28   46,727 
 75,000   5.88%, 09/16/25   78,835 
         1,029,333 
Sri Lanka: 0.3%     
     Sri Lanka Government International Bond 144A     
 50,000   5.75%, 04/18/23   48,621 
 40,000   6.85%, 11/03/25   39,557 
         88,178 
Thailand: 3.8%     
     Thailand Government Bonds     
THB 1,985,000   1.88%, 06/17/22   63,406 
 1,990,000   2.00%, 12/17/22   63,789 
 2,380,000   2.13%, 12/17/26   75,044 
 2,350,000   3.40%, 06/17/36   79,437 
 4,593,000   3.63%, 06/16/23   156,832 
 4,429,000   3.65%, 12/17/21   148,952 
 2,280,000   3.65%, 06/20/31   80,533 
 304,000   3.78%, 06/25/32   10,816 
 1,835,000   3.85%, 12/12/25   64,668 
 1,920,000   4.68%, 06/29/44   76,293 
 2,560,000   4.88%, 06/22/29   99,353 
 2,400,000   Thailand Government Bonds Reg S
4.26%, 12/12/37
   88,542 
         1,007,665 
Turkey: 2.8%     
     Turkey Government International Bonds     
USD 60,000   5.63%, 03/30/21   60,712 
 150,000   6.00%, 03/25/27   144,886 
 90,000   6.88%, 03/17/36   88,700 
TRY 268,600   7.10%, 03/08/23   39,647 
USD 80,000   7.38%, 02/05/25   83,797 
TRY 240,000   8.00%, 03/12/25   34,777 
 280,000   9.20%, 09/22/21   46,145 
 200,000   10.50%, 01/15/20   36,168 
 208,000   10.50%, 08/11/27   33,696 
 340,000   10.60%, 02/11/26   56,033 
 200,000   10.70%, 08/17/22   33,695 
 222,000   11.00%, 03/02/22   38,087 
 200,000   12.40%, 03/08/28   35,859 
         732,202 
Ukraine: 0.5%     
     Ukraine Government International Bonds 144A     
USD 75,000   7.38%, 09/25/32   64,110 
 60,000   7.75%, 09/01/23   57,346 
         121,456 
United Arab Emirates: 0.4%     
     Abu Dhabi Government International Bond 144A     
 50,000   2.50%, 10/11/22   49,093 
 65,000   3.13%, 10/11/27   63,628 
         112,721 
Uruguay: 0.4%     
 77,000   Uruguay Government International Bonds
4.50%, 08/14/24
   80,041 
     Uruguay Government International Bonds Reg S     
UYU 370,000   8.50%, 03/15/28   10,011 
 300,000   9.88%, 06/20/22   9,259 
         99,311 
Total Government Obligations
(Cost: $16,670,028)
   16,385,404 
           
Number
of Shares
         
MONEY MARKET FUND: 0.3%
(Cost: $96,875)
     
 96,875   Dreyfus Government Cash Management Fund - Institutional Shares   96,875 
Total Investments Before Collateral for Securities Loaned: 98.5%
(Cost: $26,074,901)
   25,839,636 
           
Principal
Amount
         
SHORT-TERM INVESTMENT HELD AS COLLATERAL FOR SECURITIES ON LOAN: 1.0%
(Cost: $257,776)
     
Repurchase Agreements: 1.0%     
$257,776   Repurchase agreement dated 1/31/19 with Deutsche Bank Securities, Inc., 2.56%, due 2/1/19, proceeds $257,794; (collateralized by various U.S. government and agency obligations, 2.63%, due 12/15/21, valued at $262,932 including accrued interest)   257,776 
Total Investments: 99.5%
(Cost: $26,332,677)
   26,097,412 
Other assets less liabilities: 0.5%   121,497 
NET ASSETS: 100.0%  $26,218,909 

 

Definitions:

BRL Brazilian Real
CLP Chilean Peso
COP Colombian Peso
CZK Czech Koruna
EUR Euro
HUF Hungarian Forint
IDR Indonesian Rupiah
ILS Israeli Sheqel
MXN Mexican Peso
MYR Malaysian Ringgit
NGN Nigerian Naira
PEN Peruvian Nuevo Sol
PLN Polish Zloty
RON Romanian Leu
RUB Russian Ruble
THB Thai Baht
TRY Turkish Lira
USD United States Dollar
UYU Uruguayan Peso
ZAR South African Rand

 

Footnotes:

(c) Callable Security - the redemption date shown is when the security may be redeemed by the issuer
(p) Puttable Security - the redemption date shown is when the security may be redeemed by the investor
(s) The rate shown reflects the rate in effect at the end of the reporting period. Coupon adjusts periodically based upon a predetermined schedule
^ Zero Coupon Bond
Security fully or partially on loan. Total market value of securities on loan is $252,515.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
144A Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $5,029,415, or 19.2% of net assets.

 

Summary of Investments
by Sector Excluding
Collateral for Securities
Loaned
  % of
Investments
  Value 
Basic Materials     3.9%     $1,013,078 
Communications   3.0    775,998 
Consumer, Non-cyclical   3.3    850,313 
Diversified   1.4    359,437 
Energy   8.7    2,257,894 
Financial   12.2    3,145,454 
Government   63.4    16,385,404 
Industrial   1.0    256,472 
Utilities   2.7    698,711 
Money Market Fund   0.4    96,875 
    100.0%  $25,839,636 

 

The summary of inputs used to value the Fund’s investments as of January 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Corporate Bonds*  $   $9,357,357   $   $9,357,357 
Government Obligations*       16,385,404        16,385,404 
Money Market Funds   96,875            96,875 
Repurchase Agreements       257,776        257,776 
Total  $96,875   $26,000,537   $   $26,097,412 

 

* See Schedule of Investments for geographic sector breakouts.

 

See Notes to Schedules of Investments

 

VANECK VECTORS EMERGING MARKETS HIGH YIELD BOND ETF

SCHEDULE OF INVESTMENTS

January 31, 2019 (unaudited)

 

Principal
Amount
      Value 
CORPORATE BONDS: 91.7%     
Argentina: 4.6%     
$350,000   Aeropuertos Argentina 2000 SA 144A
6.88%, 02/06/22 (c)
  $331,625 
 550,000   AES Argentina Generacion SA 144A
7.75%, 02/02/21 (c)
   481,861 
 300,000   Agua y Saneamientos Argentinos SA Reg S
6.63%, 02/01/21 (c)
   237,000 
 450,000   Arcor SAIC 144A
6.00%, 07/06/20 (c)
   435,366 
 300,000   Banco Hipotecario SA 144A
9.75%, 11/30/20
   303,435 
 350,000   Banco Macro SA 144A
6.75% (USD Swap Semi 30/360 5 Year+5.46%), 11/04/21 (c)
   294,875 
 450,000   Cablevision SA 144A
6.50%, 06/15/19 (c)
   441,563 
 200,000   Capex SA 144A
6.88%, 05/15/21 (c)
   175,194 
 300,000   Cia General de Combustibles SA 144A
9.50%, 11/07/19 (c)
   289,500 
 400,000   Cia Latinoamericana de Infraestructura & Servicios SA 144A
9.50%, 07/20/20 (c)
   274,000 
 300,000   Generacion Mediterranea SA 144A
9.63%, 07/27/20 (c)
   267,990 
 450,000   Genneia SA 144A
8.75%, 01/20/20 (c)
   419,490 
 300,000   IRSA Propiedades Comerciales SA 144A
8.75%, 03/23/20 (c)
   294,717 
     Pampa Energia SA 144A     
 400,000   7.38%, 07/21/20 (c)   381,004 
 700,000   7.50%, 01/24/22 (c)   624,750 
 470,000   Pan American Energy LLC 144A
7.88%, 05/07/21
   483,489 
 550,000   Rio Energy SA / UGEN SA / UENSA SA 144A
6.88%, 02/01/22 (c)
   441,375 
 500,000   Tecpetrol SA 144A
4.88%, 12/12/20 (c)
   472,500 
 500,000   Transportadora de Gas del Sur SA 144A
6.75%, 05/02/22 (c) †
   468,650 
     YPF SA 144A     
 930,000   6.95%, 07/21/27 †   836,256 
 675,000   7.00%, 06/15/47 (c) †   554,850 
 850,000   8.50%, 03/23/21   868,901 
 1,300,000   8.50%, 07/28/25   1,277,575 
 1,100,000   8.75%, 04/04/24   1,108,250 
         11,764,216 
Austria: 0.0%     
 100,000   JBS Investments II GmbH 144A
7.00%, 01/15/22 (c)
   101,750 
Azerbaijan: 1.4%     
 950,000   International Bank of Azerbaijan OJSC Reg S
3.50%, 09/01/24
   845,500 
 1,675,000   Southern Gas Corridor CJSC 144A
6.88%, 03/24/26
   1,864,208 
 700,000   State Oil Co. of the Azerbaijan Republic Reg S
6.95%, 03/18/30
   772,282 
         3,481,990 
Bahrain: 0.8%     
 400,000   BBK BSC Reg S
3.50%, 03/24/20
   394,264 
     Oil and Gas Holding Co. BSCC 144A     
 875,000   7.50%, 10/25/27   905,354 
 500,000   7.63%, 11/07/24   532,111 
 300,000   8.38%, 11/07/28   320,900 
         2,152,629 
Bermuda: 2.2%     
 400,000   China Oil & Gas Group Ltd. Reg S
4.63%, 04/20/20 (c) †
   382,260 
 200,000   Cosan Ltd. 144A
5.95%, 09/20/20 (c)
   201,500 
 712,000   Digicel Group One Ltd. 144A
8.25%, 12/30/20 (c) †
   590,960 
     Digicel Group Two Ltd. 144A     
 673,000   8.25%, 09/30/20 (c) †   365,103 
 1,200,000   9.13% 03/04/19 (c) †   528,000 
     Digicel Ltd. 144A     
 1,125,000   6.00%, 03/04/19 (c)   1,044,000 
 900,000   6.75%, 02/19/19 (c)   739,980 
 400,000   GCL New Energy Holdings Ltd. Reg S
7.10%, 01/30/21 †
   361,169 
 300,000   Geopark Ltd. 144A
6.50%, 09/21/21 (c)
   291,375 
 200,000   GOME Retail Holdings Ltd. Reg S
5.00%, 03/10/20
   191,200 
 600,000   Inkia Energy Ltd. 144A
5.88%, 11/09/22 (c)
   575,784 
 500,000   Li & Fung Ltd. Reg S
5.25%, 11/03/21 (c)
   332,535 
         5,603,866 
Brazil: 4.7%     
 200,000   B3 SA - Brasil Bolsa Balcao 144A
5.50%, 07/16/20
   205,302 
     Banco Bradesco SA 144A     
 350,000   5.75%, 03/01/22   365,400 
 600,000   5.90%, 01/16/21   622,800 
     Banco BTG Pactual SA Reg S     
 300,000   5.75%, 09/28/22 Reg S   293,475 
 75,000   5.75%, 09/28/22 144A   73,369 
 1,100,000   Banco do Brasil SA
3.88%, 10/10/22
   1,086,525 
     Banco do Brasil SA 144A     
 730,000   5.88%, 01/26/22 †   760,550 
 400,000   8.50% (US Treasury Yield Curve Rate T 10 Year+7.78%), 10/20/20 (c)   427,404 
     Banco do Brasil SA/Cayman 144A     
 200,000   4.63%, 01/15/25 †   196,882 
 200,000   5.38%, 01/15/21   205,400 
     Banco do Estado do Rio Grande do Sul SA Reg S     
 200,000   7.38%, 02/02/22 Reg S   210,998 
 50,000   7.38%, 02/02/22 144A   52,750 
     Banco Nacional de Desenvolvimento Economico e Social 144A     
 400,000   4.75%, 05/09/24 †   403,000 
 410,000   5.50%, 07/12/20   422,300 
 400,000   Banco Safra SA 144A
6.75%, 01/27/21
   422,000 
 550,000   BRF SA 144A
4.75%, 05/22/24
   515,625 
 200,000   Caixa Economica Federal 144A
3.50%, 11/07/22
   194,240 
 560,000   Cemig Geracao e Transmissao SA 144A
9.25%, 12/05/23 (c)
   613,192 
 560,000   Centrais Eletricas Brasileiras SA 144A
5.75%, 10/27/21
   576,100 
 200,000   Cia de Saneamento Basico do Estado de Sao Paulo Reg S
6.25%, 03/06/19 (c)
   201,250 
 425,000   Cielo SA 144A
3.75%, 11/16/22
   411,719 
     Globo Comunicacao e Participacoes SA 144A     
 150,000   4.84%, 03/08/25 (c) †   147,750 
 150,000   4.88%, 04/11/22   151,464 
     Itau Unibanco Holding SA 144A     
 1,200,000   5.13%, 05/13/23   1,231,800 
 1,450,000   5.75%, 01/22/21   1,502,925 
 100,000   6.20%, 12/21/21   105,301 
 200,000   Light Servicos de Eletricidade SA/Light Energia SA 144A
7.25%, 05/03/21 (c) †
   200,940 
 300,000   Natura Cosmeticos SA 144A
5.38%, 02/01/21 (c)
   302,625 
         11,903,086 
British Virgin Islands: 4.1%     
 350,000   Arcos Dorados Holdings, Inc. 144A
6.63%, 09/27/23
   371,438 
 350,000   Baoxin Auto Finance I Ltd. Reg S
5.63% (US Treasury Yield Curve Rate T 3 Year+8.91%), 10/30/20 (c)
   313,649 
 500,000   Central American Bottling Corp. 144A
5.75%, 01/31/22 (c)
   499,375 
     Easy Tactic Ltd. Reg S     
 700,000   5.75%, 01/13/20 (c) †   662,595 
 200,000   7.00%, 04/25/20 (c)   197,724 
 1,200,000   Fortune Star BVI Ltd. Reg S
5.25%, 03/23/20 (c)
   1,136,264 
 400,000   Franshion Brilliant Ltd. Reg S
5.75% (USD Swap Semi 30/360 5 Year+3.86%), 01/17/22 (c)
   360,961 
 625,000   Gold Fields Orogen Holding BVI Ltd. 144A
4.88%, 10/07/20
   628,750 
     Greenland Global Investment Ltd. Reg S     
 450,000   4.85%, 08/17/20 †   440,107 
 350,000   5.88%, 07/03/24   301,289 
 250,000   Grupo Unicomer Co. Ltd. 144A
7.88%, 04/01/21 (c)
   264,375 
 300,000   Lai Fung Bonds 2018 Ltd. Reg S
5.65%, 01/18/23
   277,225 
 425,000   LS Finance 2022 Ltd. Reg S
4.25%, 10/16/22
   412,423 
 400,000   New Metro Global Ltd. Reg S
6.50%, 04/23/20 (c)
   395,725 
 220,000   Prime Bloom Holdings Ltd. Reg S
6.95%, 07/05/20 (c)
   169,070 
 200,000   RKI Overseas Finance 2016 B Ltd. Reg S
4.70%, 09/06/19 (c)
   191,190 
 250,000   RKI Overseas Finance 2017 A Ltd. Reg S
7.00%, 06/23/22 (c)
   195,594 
     Scenery Journey Ltd. Reg S     
 500,000   11.00%, 11/06/20   516,587 
 300,000   13.75%, 11/06/21 (c) †   319,495 
 400,000   Sino-Ocean Land Treasure III Ltd. Reg S
4.90% (US Treasury Yield Curve Rate T 5 Year+3.26%), 09/21/22 (c)
   315,581 
 540,650   Star Energy Geothermal Wayang Windu Ltd. 144A
6.75%, 04/24/26 (c)
   526,135 
 700,000   Studio City Co. Ltd. 144A
7.25%, 03/04/19 (c)
   724,379 
 450,000   Studio City Finance Ltd.  144A
8.50%, 03/04/19 (c)
   451,125 
 300,000   Wanda Properties International Co. Ltd. Reg S
7.25%, 01/29/24
   293,597 
 400,000   Xinhu BVI Holding Co. Ltd. Reg S
6.00%, 03/01/20 †
   377,601 
 200,000   Zhongrong International Resources Co. Ltd. Reg S
7.25%, 10/26/20
   132,283 
         10,474,537 
Canada: 2.2%     
 200,000   Canacol Energy Ltd. 144A
7.25%, 05/03/22 (c)
   193,031 
     First Quantum Minerals Ltd.  144A     
 600,000   6.50%, 09/01/20 (c)   552,750 
 800,000   6.88%, 03/01/21 (c) †   728,000 
 900,000   7.00%, 03/04/19 (c) †   899,437 
 800,000   7.25%, 03/04/19 (c) †   791,000 
 1,000,000   7.25%, 10/01/19 (c)   961,260 
 1,050,000   7.50%, 04/01/20 (c)   988,312 
 300,000   Frontera Energy Corp. 144A
9.70%, 06/25/21 (c)
   305,250 
 200,000   St Marys Cement, Inc. Canada 144A
5.75%, 10/28/26 (c)
   206,500 
         5,625,540 
Cayman Islands: 11.4%     
 300,000   361 Degrees International Ltd. Reg S
7.25%, 06/03/19 (c)
   287,419 
     Agile Group Holdings Ltd. Reg S     
 200,000   6.88% (US Treasury Yield Curve Rate T 5 Year+9.22%), 03/07/23 (c) †   179,729 
 200,000   8.50%, 07/18/20 (c) †   208,879 
 400,000   9.00%, 03/04/19 (c)   414,829 
 300,000   Agricola Senior Trust 144A
6.75%, 06/18/20
   305,934 
 700,000   Alpha Star Holding III Ltd. Reg S
6.25%, 04/20/22
   620,165 
 400,000   Batelco International Finance No. 1 Ltd. Reg S
4.25%, 05/01/20
   398,116 
 400,000   CAR, Inc. 144A
6.13%, 03/04/19 (c)
   396,800 
 300,000   Cementos Progreso Trust 144A
7.13%, 03/18/19 (c) †
   309,750 
     Central China Real Estate Ltd. Reg S     
 200,000   6.50%, 03/05/21   195,645 
 275,000   8.75%, 03/04/19 (c)   280,888 
 400,000   CFLD Cayman Investment Ltd. Reg S
6.50%, 12/21/20 †
   377,606 
 200,000   China Aoyuan Group Ltd. Reg S
7.95%, 09/07/20 (c) (p)
   204,419 
 300,000   China Aoyuan Property Group Ltd. Reg S
7.50%, 05/10/20 (c)
   303,093 
     China Evergrande Group Reg S     
 850,000   7.50%, 06/28/20 (c)   768,003 
 1,625,000   8.75%, 06/28/21 (c)   1,448,510 
 500,000   9.50%, 03/29/21 (c)   469,575 
 700,000   China SCE Property Holdings Ltd. Reg S
5.88%, 03/10/20 (c)
   656,241 
     CIFI Holdings Group Co. Ltd. Reg S     
 200,000   6.88%, 04/23/20 (c)   201,751 
 700,000   7.75%, 03/04/19 (c)   716,456 
 625,000   Comcel Trust 144A
6.88%, 03/04/19 (c)
   647,794 
     Country Garden Holdings Co. Ltd. Reg S     
 600,000   4.75%, 09/28/20 (c)   554,798 
 300,000   5.63%, 12/15/21 (p) †   292,854 
 500,000   7.50%, 03/04/19 (c) †   509,041 
 500,000   Dar Al-Arkan Sukuk Co. Ltd. Reg S
6.88%, 03/21/23
   467,665 
 400,000   Emirates Reit Sukuk Ltd. Reg S
5.13%, 12/12/22
   366,000 
 200,000   Energuate Trust 144A
5.88%, 05/03/22 (c)
   187,750 
 800,000   Ezdan Sukuk Co. Ltd. Reg S
4.38%, 05/18/21
   673,718 
 500,000   Fantasia Holdings Group Co. Ltd. Reg S
7.38%, 10/04/19 (c)
   408,790 
 200,000   Future Land Development Holdings Ltd. Reg S
5.00%, 02/16/20
   198,450 
 600,000   Global A&T Electronics Ltd.
8.50%, 03/04/19 (c)
   530,490 
 200,000   Gol Finance, Inc. 144A
7.00%, 01/31/22 (c)
   186,250 
 400,000   Greentown China Holdings Ltd. Reg S
5.88%, 03/04/19 (c)
   401,592 
 950,000   Grupo Aval Ltd. 144A
4.75%, 09/26/22
   938,600 
 400,000   Industrial Senior Trust 144A
5.50%, 11/01/22
   403,000 
 400,000   Jingrui Holdings Ltd. Reg S
9.45%, 04/23/21
   367,420 
 400,000   King Talent Management Ltd. Reg S
5.60% (US Treasury Yield Curve Rate T 5 Year+3.52%), 12/04/22 (c)
   358,595 
 200,000   KWG Group Holdings Ltd. Reg S
7.88%, 08/09/20 (c) †
   205,218 
     KWG Property Holding Ltd. Reg S     
 200,000   5.88%, 11/10/21 (c)   176,531 
 300,000   6.00%, 03/15/20 (c)   283,695 
     Lamar Funding Ltd. Reg S     
 800,000   3.96%, 05/07/25 Reg S   676,300 
 500,000   3.96%, 05/07/25 144A   422,688 
 700,000   Latam Finance Ltd. 144A
6.88%, 04/11/21 (c)
   708,925 
     Logan Property Holdings Co. Ltd. Reg S     
 200,000   5.25%, 05/23/20 (c)   178,430 
 400,000   6.88%, 04/24/20 (c)   398,422 
     MAF Global Securities Ltd. Reg S     
 550,000   5.50% (USD Swap Semi 30/360 5 Year+3.48%), 09/07/22 (c) †   529,441 
 300,000   6.38% (US Treasury Yield Curve Rate T 5 Year+3.54%), 03/20/26 (c)   278,715 
 900,000   Melco Resorts Finance Ltd. 144A
4.88%, 06/06/20 (c)
   848,174 
 500,000   Mumtalakat Sukuk Holding Co. Reg S
4.00%, 11/25/21
   485,246 
 300,000   NagaCorp Ltd. 144A
9.38%, 05/21/20 (c)
   311,081 
 300,000   NMC Healthcare Sukuk Ltd. Reg S
5.95%, 11/21/23
   306,000 
 124,000   Odebrecht Drilling Norbe VIII/IX Ltd. 144A
6.35%, 12/01/20 (c)
   120,900 
 200,000   Powerlong Real Estate Holdings Ltd.
6.95%, 04/17/21
   195,911 
 400,000   Ronshine China Holdings Ltd. Reg S
8.25%, 02/01/20 (p) †
   392,647 
 250,000   Sagicor Finance 2015 Ltd. 144A
8.88%, 08/11/19 (c)
   263,250 
 700,000   Shelf Drilling Holdings Ltd. 144A
8.25%, 02/15/21 (c)
   637,875 
 895,000   Shimao Property Holdings Ltd. Reg S
8.38%, 03/04/19 (c)
   937,201 
     Sunac China Holdings Ltd. Reg S     
 400,000   6.88%, 08/08/20   399,408 
 600,000   7.95%, 08/08/20 (c)   594,799 
 300,000   Termocandelaria Power Ltd. 144A
7.88%, 01/30/23 (c)
   310,125 
 800,000   Times Property Holdings Ltd. Reg S
6.60%, 11/30/20 (c) †
   742,791 
 550,000   WTT Investment Ltd./Hong Kong 144A
5.50%, 11/21/20 (c)
   543,167 
     Wynn Macau Ltd. 144A     
 500,000   4.88%, 10/01/20 (c)   466,250 
 700,000   5.50%, 10/01/22 (c)   640,500 
 200,000   Xinyuan Real Estate Co. Ltd. Reg S
7.75%, 02/28/21 †
   160,705 
 700,000   Yuzhou Properties Co. Ltd. Reg S
6.00%, 01/25/20 (c)
   673,322 
         29,124,332 
Chile: 0.6%     
 500,000   CorpGroup Banking SA 144A
6.75%, 03/04/19 (c)
   488,750 
 500,000   Empresa Electrica Guacolda SA 144A
4.56%, 01/30/25 (c)
   453,959 
 500,000   Latam Airlines Group SA 144A
7.25%, 06/09/20
   516,875 
         1,459,584 
China / Hong Kong: 2.0%     
 650,000   Bank of East Asia Ltd. Reg S
5.50% (US Treasury Yield Curve Rate T 5 Year+3.83%), 12/02/20 (c)
   648,927 
 1,050,000   China Cinda Asset Management Co. Ltd. Reg S
4.45% (US Treasury Yield Curve Rate T 5 Year+3.29%), 09/30/21 (c)
   994,875 
 600,000   China CITIC Bank International Ltd. Reg S
4.25% (US Treasury Yield Curve Rate T 5 Year+3.11%), 10/11/21 (c)
   564,210 
 200,000   China South City Holdings Ltd. Reg S
5.75%, 03/09/20
   179,690 
 200,000   Full Dragon Hong Kong International Development Ltd. Reg S
5.60%, 02/14/21
   196,308 
 450,000   ICBC Asia Ltd. Reg S
4.25% (US Treasury Yield Curve Rate T 5 Year+3.13%), 07/21/21 (c)
   440,043 
 1,100,000   Nanyang Commercial Bank Ltd. Reg S
5.00% (US Treasury Yield Curve Rate T 5 Year+3.21%), 06/02/22 (c)
   1,060,517 
 400,000   Qinghai Provincial Investment Group Co. Ltd. Reg S
6.40%, 07/10/21 †
   327,024 
 300,000   Yancoal International Resources Development Co. Ltd. Reg S
5.75% (US Treasury Yield Curve Rate T 3 Year+8.30%), 04/13/20 (c)
   300,773 
 200,000   Yanlord Land HK Co. Ltd. Reg S
5.88%, 01/23/20 (c)
   199,529 
 200,000   Zoomlion HK SPV Co. Ltd. 144A
6.13%, 12/20/22
   190,000 
         5,101,896 
Colombia: 2.1%     
 550,000   Banco Davivienda SA 144A
5.88%, 07/09/22
   579,837 
     Banco de Bogota SA 144A     
 1,175,000   5.38%, 02/19/23   1,205,844 
 200,000   6.25%, 05/12/26   209,700 
 300,000   Banco GNB Sudameris SA 144A
6.50% (US Treasury Yield Curve Rate T 5 Year+4.56%), 04/03/22 (c)
   306,675 
     Bancolombia SA     
 600,000   4.88% (US Treasury Yield Curve Rate T 5 Year+2.93%), 10/18/22 (c) †   595,230 
 900,000   5.13%, 09/11/22   929,250 
     Colombia Telecomunicaciones SA ESP 144A     
 700,000   5.38%, 03/04/19 (c)   708,057 
 450,000   8.50% (USD Swap Semi 30/360 5 Year+6.96%), 03/30/20 (c)   469,017 
 300,000   Credivalores-Crediservicios SAS 144A
9.75%, 07/27/20 (c)
   265,500 
         5,269,110 
Costa Rica: 0.3%     
 800,000   Banco Nacional de Costa Rica 144A
6.25%, 11/01/23
   791,860 
Croatia: 0.2%     
 400,000   Hrvatska Elektroprivreda 144A
5.88%, 10/23/22
   421,000 
Curacao: 0.3%     
 450,000   Teva Pharmaceutical Finance Co. BV
2.95%, 12/18/22
   420,064 
 300,000   Teva Pharmaceutical Finance IV BV
3.65%, 11/10/21
   289,956 
         710,020 
Dominican Republic: 0.2%     
 300,000   Aeropuertos Dominicanos Siglo XXI SA 144A
6.75%, 04/01/24 (c)
   302,513 
 300,000   Banco de Reservas de la Republica Dominicana 144A
7.00%, 02/01/23
   303,153 
         605,666 
Ecuador: 0.2%     
 600,000   Petroamazonas EP 144A
4.63%, 11/06/20
   576,615 
Georgia: 0.4%     
 200,000   Bank of Georgia JSC 144A
6.00%, 07/26/23
   197,864 
 200,000   Georgia Capital JSC 144A
6.13%, 03/09/24
   182,000 
 500,000   Georgian Railway JSC 144A
7.75%, 07/11/22
   527,815 
         907,679 
India: 0.9%     
 400,000   Delhi International Airport Pvt Ltd. 144A
6.13%, 10/31/26
   392,920 
 300,000   GMR Hyderabad International Airport Ltd. 144A
4.25%, 10/27/27
   252,800 
 400,000   HPCL-Mittal Energy Ltd. Reg S
5.25%, 04/28/27
   376,471 
 700,000   IDBI Bank Ltd. Reg S
4.25%, 11/30/20
   692,046 
 500,000   JSW Steel Ltd. Reg S
5.25%, 04/13/22 †
   497,708 
         2,211,945 
Indonesia: 0.5%     
 300,000   ABM Investama Tbk PT 144A
7.13%, 08/01/20 (c)
   273,380 
 360,000   Bukit Makmur Mandiri Utama PT 144A
7.75%, 02/13/20 (c)
   366,443 
 320,000   Chandra Asri Petrochemical Tbk PT 144A
4.95%, 11/08/21 (c)
   290,579 
 500,000   Saka Energi Indonesia PT 144A
4.45%, 05/05/24
   469,520 
         1,399,922 
Ireland: 3.9%     
 925,000   Alfa Bank OJSC 144A
7.75%, 04/28/21
   984,925 
 750,000   Bank Otkritie Financial Corp. OJSC  Reg S
10.00%, 12/17/19 # § ∞
   0 
 300,000   Borets Finance DAC 144A
6.50%, 04/07/22
   301,875 
     Credit Bank of Moscow Via CBOM Finance Plc 144A     
 350,000   5.55%, 02/14/23   338,908 
 350,000   5.88%, 11/07/21   351,250 
 500,000   EDC Finance Ltd. 144A
4.88%, 04/17/20
   501,224 
 600,000   Eurochem Finance DAC 144A
3.95%, 07/05/21
   588,188 
 300,000   EuroChem Mineral & Chemical Co. OJSC Via EuroChem Global Investments Ltd. 144A
3.80%, 04/12/20
   297,213 
 200,000   Eurotorg LLC via Bonitron DAC 144A
8.75%, 10/30/22
   202,180 
     GTLK Europe DAC Reg S     
 400,000   5.13%, 05/31/24   382,258 
 400,000   5.95%, 07/19/21   402,799 
 600,000   Hacienda Investments Ltd. Via DME Airport DAC Reg S
5.08%, 02/15/23
   585,150 
 400,000   Koks OAO Via Koks Finance DAC 144A
7.50%, 05/04/22
   403,822 
     Metalloinvest Finance DAC 144A     
 800,000   4.85%, 05/02/24   782,008 
 200,000   5.63%, 04/17/20   202,310 
 550,000   Mobile Telesystems OJSC 144A
5.00%, 05/30/23
   549,081 
 200,000   MTS International Funding Ltd. 144A
8.63%, 06/22/20
   211,559 
 1,725,000   Rosneft Oil Co. 144A
4.20%, 03/06/22
   1,691,611 
 900,000   SCF Capital Ltd. 144A
5.38%, 06/16/23
   891,799 
 300,000   Sibur Securities DAC 144A
4.13%, 10/05/23
   290,719 
         9,958,879 
Kazakhstan: 1.5%     
     Halyk Savings Bank of Kazakhstan JSC 144A     
 600,000   5.50%, 03/04/19 (c)   598,800 
 500,000   7.25%, 01/28/21   525,560 
     KazMunayGas National Co. JSC 144A     
 500,000   3.88%, 04/19/22   498,797 
 300,000   4.40%, 04/30/23   303,429 
 800,000   4.75%, 04/19/27   811,104 
 1,100,000   5.75%, 04/19/47   1,112,402 
         3,850,092 
Kuwait: 0.1%     
 300,000   Al Ahli Bank of Kuwait KSCP Reg S
7.25% (USD Swap Semi 30/360 5 Year+4.17%), 09/26/23 (c)
   304,688 
Luxembourg: 7.2%     
 500,000   Adecoagro SA 144A
6.00%, 09/21/22 (c)
   440,000 
 200,000   Atento Luxco 1 SA 144A
6.13%, 08/10/19 (c)
   196,500 
 300,000   Avation Capital SA 144A
6.50%, 05/15/20 (c)
   300,375 
     Consolidated Energy Finance SA 144A     
 400,000   6.50%, 05/15/21 (c)   393,000 
 350,000   6.88%, 06/15/20 (c)   346,500 
 300,000   Cosan Luxembourg SA 144A
7.00%, 01/20/22 (c)
   315,375 
 500,000   CSN Resources SA 144A
6.50%, 07/21/20 †
   498,750 
     Evraz Group SA 144A     
 1,275,000   5.38%, 03/20/23 144A   1,276,951 
 350,000   6.50%, 04/22/20 144A   358,061 
 200,000   6.75%, 01/31/22 Reg S   208,892 
 600,000   8.25%, 01/28/21 Reg S   638,100 
 300,000   Gilex Holding Sarl 144A
8.50%, 05/02/21 (c)
   308,625 
 200,000   Hidrovias International Finance SARL 144A
5.95%, 01/24/22 (c)
   188,330 
 200,000   JSL Europe SA 144A
7.75%, 07/26/21 (c)
   198,500 
 400,000   Kernel Holding SA 144A
8.75%, 01/31/22
   398,096 
 500,000   Klabin Finance SA 144A
4.88%, 09/19/27
   470,625 
 550,000   MHP Lux SA 144A
6.95%, 04/03/26
   495,000 
     Minerva Luxembourg SA 144A     
 100,000   5.88%, 01/19/23 (c)   90,375 
 550,000   6.50%, 09/20/21 (c)   528,165 
     Offshore Drilling Holding SA Reg S     
 400,000   8.38%, 03/04/19 (c)Reg S   206,000 
 590,000   8.38%, 03/04/19 (c)144A   303,850 
 1,200,000   Puma International Financing SA 144A
5.00%, 01/24/21 (c)
   1,002,274 
 450,000   Rosneft Finance SA 144A
7.25%, 02/02/20
   464,607 
 500,000   Rumo Luxembourg Sarl 144A
7.38%, 02/09/21 (c)
   531,250 
     Sberbank of Russia 144A     
 1,750,000   5.13%, 10/29/22   1,759,102 
 1,350,000   6.13%, 02/07/22   1,403,527 
 875,000   Sberbank of Russia Via SB Capital SA Reg S
5.72%, 06/16/21
   898,609 
 500,000   TMK OAO 144A
6.75%, 04/03/20
   509,053 
 400,000   Topaz Marine SA 144A
9.13%, 07/26/19 (c)
   401,176 
 300,000   Ultrapar International SA 144A
5.25%, 10/06/26
   301,953 
 300,000   Vm Holding SA 144A
5.38%, 02/04/27 (c)
   298,110 
 600,000   Votorantim Cimentos International SA 144A
7.25%, 04/05/41
   632,412 
 700,000   VTB Bank OJSC Via VTB Capital SA 144A
6.55%, 10/13/20
   723,398 
 1,265,000   VTB Bank SA 144A
6.95%, 10/17/22
   1,298,839 
         18,384,380 
Malaysia: 0.1%     
 300,000   Press Metal Labuan Ltd. Reg S
4.80%, 10/30/20 (c)
   284,448 
Marshall Islands: 0.1%     
 350,000   Navios South American Logistics, Inc. 144A
7.25%, 03/04/19 (c)
   329,000 
Mauritius: 1.5%     
 375,000   Azure Power Energy Ltd. 144A
5.50%, 08/03/20 (c)
   365,619 
 500,000   Greenko Investment Co. 144A
4.88%, 08/16/19 (c)
   464,401 
 300,000   HT Global IT Solutions Holdings Ltd. 144A
7.00%, 03/04/19 (c)
   308,100 
 450,000   HTA Group Ltd. 144A
9.13%, 03/08/19 (c)
   465,750 
 300,000   Lodha Developers International Ltd. Reg S
12.00%, 03/06/19 (c)
   287,250 
     MTN Mauritius Investments Ltd. 144A     
 600,000   4.76%, 11/11/24   569,366 
 500,000   5.37%, 02/13/22   499,083 
 400,000   6.50%, 10/13/26   404,592 
 500,000   Neerg Energy Ltd. 144A
6.00%, 02/13/20 (c)
   482,929 
         3,847,090 
Mexico: 3.7%     
 500,000   Axtel SAB de CV 144A
6.38%, 11/14/20 (c)
   483,125 
 500,000   Banco Mercantil del Norte SA/Grand Cayman 144A
5.75% (US Treasury Yield Curve Rate T 5 Year+4.45%), 10/04/26 (c)
   471,300 
     BBVA Bancomer SA 144A     
 800,000   5.13% (US Treasury Yield Curve Rate T 5 Year+2.65%), 01/18/28 (c)   725,000 
 950,000   7.25%, 04/22/20   985,625 
     Cemex SAB de CV 144A     
 1,200,000   5.70%, 01/11/20 (c)   1,219,200 
 100,000   6.13%, 05/05/20 (c)   102,050 
 900,000   7.75%, 04/16/21 (c) †   974,250 
 500,000   Credito Real SAB de CV 144A
7.25%, 07/20/20 (c)
   493,750 
 300,000   Cydsa SAB de CV 144A
6.25%, 10/04/22 (c)
   278,250 
 360,000   Elementia SAB de CV 144A
5.50%, 01/15/20 (c)
   339,300 
 400,000   Grupo Bimbo SAB de CV 144A
5.95% (US Treasury Yield Curve Rate T 5 Year+3.28%), 04/17/23 (c)
   397,480 
 300,000   Grupo Idesa SA de CV 144A
7.88%, 03/04/19 (c)
   204,000 
 385,000   Grupo KUO SAB De CV 144A
5.75%, 07/07/22 (c)
   369,639 
 400,000   Grupo Posadas SAB de CV 144A
7.88%, 06/30/19 (c)
   397,848 
 350,000   Metalsa SA de CV 144A
4.90%, 04/24/23
   340,907 
 400,000   Nemak SAB de CV 144A
4.75%, 01/23/21 (c)
   388,000 
 300,000   Sixsigma Networks Mexico SA de CV 144A
7.50%, 05/02/21 (c)
   287,250 
 250,000   TV Azteca SAB de CV Reg S
8.25%, 08/09/21 (c)
   248,750 
     Unifin Financiera SA de CV 144A     
 400,000   7.00%, 07/15/21 (c)   364,000 
 500,000   7.25%, 09/27/20 (c)   484,375 
         9,554,099 
Mongolia: 0.2%     
 500,000   Trade & Development Bank of Mongolia LLC 144A
9.38%, 05/19/20
   522,179 
Netherlands: 8.5%     
 470,000   Ajecorp BV 144A
6.50%, 03/04/19 (c)
   347,800 
 200,000   Cimpor Financial Operations BV 144A
5.75%, 07/17/19 (c) †
   176,250 
 575,000   EA Partners I BV Reg S
6.88%, 09/28/20
   336,960 
 1,000,000   Greenko Dutch BV 144A
5.25%, 07/24/20 (c)
   929,850 
     GTH Finance BV 144A     
 400,000   6.25%, 01/26/20 (c)   407,666 
 550,000   7.25%, 01/26/23 (c)   579,774 
 600,000   IHS Netherlands Holdco BV 144A
9.50%, 03/04/19 (c)
   620,659 
 655,000   Indo Energy Finance II BV 144A
6.38%, 03/04/19 (c)
   638,891 
 1,000,000   Kazakhstan Temir Zholy Finance BV 144A
6.95%, 07/10/42
   1,115,425 
 400,000   Listrindo Capital BV 144A
4.95%, 09/14/21 (c)
   379,000 
 900,000   Marfrig Holding Europe BV 144A
8.00%, 06/08/19 (c)
   933,264 
     Metinvest BV 144A     
 950,000   7.75%, 01/23/23 (c)   908,323 
 450,000   8.50%, 01/23/26 (c)   427,311 
 850,000   Nostrum Oil & Gas Finance BV 144A
8.00%, 07/25/19 (c)
   579,211 
     Petrobras Global Finance BV     
 342,000   4.38%, 05/20/23   341,829 
 700,000   5.30%, 01/27/25 †   704,200 
 200,000   5.75%, 02/01/29   196,160 
 600,000   6.00%, 01/27/28   598,680 
 650,000   6.25%, 03/17/24   688,435 
 250,000   6.85%, 06/05/15   243,125 
 100,000   6.88%, 01/20/40   101,875 
 700,000   7.38%, 01/17/27   762,650 
 380,000   8.75%, 05/23/26   446,709 
     Teva Pharmaceutical Finance Netherlands III BV     
 1,550,000   2.20%, 07/21/21   1,465,976 
 1,500,000   2.80%, 07/21/23   1,357,079 
 1,775,000   3.15%, 10/01/26   1,476,469 
 1,040,000   4.10%, 10/01/46   766,811 
 650,000   6.00%, 01/15/24 (c)   661,611 
 450,000   6.75%, 12/01/27 (c)   468,528 
     VEON Holdings BV 144A     
 600,000   3.95%, 03/16/21 (c)   589,530 
 600,000   4.95%, 03/16/24 (c)   588,084 
 200,000   5.95%, 02/13/23   207,320 
 350,000   7.50%, 03/01/22   383,534 
 1,176,000   VTR Finance BV 144A
6.88%, 02/11/19 (c)
   1,215,572 
         21,644,561 
Nigeria: 0.6%     
 200,000   Access Bank Plc 144A
10.50%, 10/19/21
   216,770 
 400,000   Fidelity Bank Plc 144A
10.50%, 10/16/22
   408,224 
 200,000   SEPLAT Petroleum Development Co. Plc 144A
9.25%, 04/01/20 (c)
   206,000 
 400,000   United Bank for Africa Plc 144A
7.75%, 06/08/22
   407,180 
 400,000   Zenith Bank Plc 144A
7.38%, 05/30/22
   409,007 
         1,647,181 
Oman: 0.3%     
 400,000   Bank Muscat SAOG Reg S
3.75%, 05/03/21
   390,468 
 350,000   Mazoon Assets Co SAOC 144A
5.20%, 11/08/27
   309,816 
         700,284 
Panama: 0.4%     
 375,000   AES El Salvador Trust II 144A
6.75%, 03/07/19 (c)
   349,219 
 300,000   AES Panama SRL 144A
6.00%, 06/25/19 (c)
   308,490 
 450,000   Avianca Holdings SA 144A
8.38%, 03/04/19 (c)
   437,625 
         1,095,334 
Paraguay: 0.1%     
 200,000   Telefonica Celular del Paraguay SA 144A
6.75%, 03/05/19 (c)
   202,972 
Peru: 1.0%     
 300,000   Inretail Pharma SA 144A
5.38%, 05/02/21 (c)
   308,455 
 300,000   Minsur SA 144A
6.25%, 02/07/24
   317,625 
 300,000   Nexa Resources Peru SAA 144A
4.63%, 03/28/23
   296,250 
 400,000   Orazul Energy Egenor S. en C. por A. 144A
5.63%, 04/28/22 (c)
   370,500 
 400,000   Patrimonio EN Fideicomiso DS 093-2002-EF-Inretail Shopping Malls 144A
5.75%, 04/03/23 (c)
   404,200 
 200,000   SAN Miguel Industrias Pet SA 144A
4.50%, 09/18/20 (c)
   196,610 
 530,000   Volcan Cia Minera SAA 144A
5.38%, 02/02/22
   541,261 
         2,434,901 
Russia: 0.3%     
     Global Ports Finance Plc 144A     
 300,000   6.50%, 09/22/23   307,868 
 200,000   6.87%, 01/25/22   205,966 
 325,000   MHP SE 144A
7.75%, 05/10/24
   313,606 
         827,440 
Saudi Arabia: 0.2%     
 400,000   Dar Al-Arkan Sukuk Co. Ltd. Reg S
6.88%, 04/10/22
   380,820 
Singapore: 2.3%     
     ABJA Investment Co. Pte Ltd. Reg S     
 350,000   4.85%, 01/31/20   352,296 
 200,000   5.45%, 01/24/28   180,925 
 1,700,000   5.95%, 07/31/24 †   1,718,258 
 400,000   APL Realty Holdings Pte Ltd. Reg S
5.95%, 06/02/21 (c)
   314,144 
 111,000   Bakrie Telecom Pte Ltd.  Reg S
11.50%, 05/07/15 (c) (d) §
   1,665 
 300,000   Geo Coal International Pte Ltd. 144A
8.00%, 10/04/20 (c)
   258,489 
 300,000   Global Prime Capital Pte Ltd. Reg S
7.25%, 04/26/20 (c) †
   308,351 
 300,000   Indika Energy Capital III Pte Ltd. 144A
5.88%, 11/09/21 (c)
   274,248 
 300,000   Jubilant Pharma Ltd. Reg S
4.88%, 10/06/19 (c)
   297,655 
 400,000   Marble II Pte Ltd. 144A
5.30%, 06/20/19 (c)
   399,262 
 800,000   Medco Platinum Road Pte Ltd. 144A
6.75%, 01/30/22 (c)
   732,842 
 200,000   SSMS Plantation Holdings Pte Ltd. Reg S
7.75%, 01/23/21 (c)
   181,508 
 200,000   TBG Global Pte Ltd. Reg S
5.25%, 02/10/20 (c)
   201,510 
 700,000   Theta Capital Pte Ltd. Reg S
7.00%, 03/04/19 (c)
   528,573 
         5,749,726 
South Africa: 2.6%     
 400,000   Absa Group Ltd. Reg S
6.25% (US Treasury Yield Curve Rate T 5 Year+3.52%), 04/25/23 (c)
   396,500 
     Eskom Holdings SOC Ltd. 144A     
 1,450,000   5.75%, 01/26/21   1,423,832 
 800,000   6.35%, 08/10/28   821,506 
 980,000   6.75%, 08/06/23   965,808 
 1,040,000   7.13%, 02/11/25 †   1,027,782 
 400,000   8.45%, 08/10/28   414,668 
     FirstRand Bank Ltd. Reg S     
 600,000   4.25%, 04/30/20   603,271 
 200,000   6.25% (USD Swap Semi 30/360 5 Year+3.56%), 04/23/23 (c)   204,728 
 900,000   Transnet SOC Ltd. 144A
4.00%, 07/26/22
   865,503 
         6,723,598 
South Korea: 0.5%     
     Woori Bank 144A     
 200,000   4.50% (US Treasury Yield Curve Rate T 5 Year+3.31%), 09/27/21 (c)   200,521 
 200,000   5.25% (US Treasury Yield Curve Rate T 5 Year+3.35%), 05/16/22 (c)   201,327 
 900,000   Woori Bank Co. Ltd. 144A
5.00% (US Treasury Yield Curve Rate T 5 Year+3.33%), 06/10/20 (c)
   903,204 
         1,305,052 
Spain: 0.2%     
 400,000   AI Candelaria Spain SLU 144A
7.50%, 09/15/28 (c)
   393,600 
           
Thailand: 0.1%     
 375,000   PTTEP Treasury Center Co. Ltd. 144A
4.60% (US Treasury Yield Curve Rate T 5 Year+2.72%), 07/17/22 (c)
   356,760 
Turkey: 8.9%     
     Akbank TAS 144A     
 550,000   5.00%, 10/24/22   524,256 
 400,000   5.13%, 03/31/25   357,988 
 200,000   6.80% (USD Swap Semi 30/360 5 Year+4.03%), 04/27/23 (c)   177,007 
 375,000   7.20% (USD Swap Semi 30/360 5 Year+5.03%), 03/16/22 (c)   343,249 
 300,000   Alternatifbank AS Reg S
8.75% (USD Swap Semi 30/360 5 Year+7.83%), 04/16/21 (c)
   269,655 
 420,000   Anadolu Efes Biracilik Ve Malt Sanayii AS 144A
3.38%, 11/01/22
   397,893 
 400,000   Arcelik AS 144A
5.00%, 04/03/23
   380,194 
 400,000   Coca-Cola Icecek AS 144A
4.22%, 06/19/24 (c)
   380,435 
 450,000   Fibabanka AS Reg S
6.00%, 01/25/23
   372,836 
 700,000   Finansbank AS 144A
4.88%, 05/19/22
   675,426 
     KOC Holding AS 144A     
 500,000   3.50%, 04/24/20   493,704 
 700,000   5.25%, 12/15/22 (c)   685,735 
 700,000   KT Kira Sertifikalari Varlik Kiralama AS Reg S
5.14%, 11/02/21
   685,140 
 400,000   Mersin Uluslararasi Liman Isletmeciligi AS 144A
5.88%, 03/04/19 (c)
   402,201 
 400,000   Petkim Petrokimya Holding AS 144A
5.88%, 01/26/21 (c)
   379,409 
 250,000   Ronesans Gayrimenkul Yatirim AS 144A
7.25%, 04/26/23
   205,000 
     TC Ziraat Bankasi AS 144A     
 600,000   4.75%, 04/29/21   575,519 
 600,000   5.13%, 05/03/22   561,637 
 500,000   Tupras Turkiye Petrol Rafinerileri AS 144A
4.50%, 07/20/24 (c)
   456,665 
 300,000   Turk Telekomunikasyon AS 144A
4.88%, 06/19/24
   276,154 
     Turkcell Iletisim Hizmetleri AS 144A     
 300,000   5.75%, 10/15/25   285,625 
 500,000   5.80%, 01/11/28 (c)   460,289 
     Turkiye Garanti Bankasi AS 144A     
 800,000   5.25%, 09/13/22   770,040 
 600,000   5.88%, 03/16/23   580,377 
 250,000   6.13% (USD Swap Semi 30/360 5 Year+4.22%), 05/24/22 (c)   219,731 
 200,000   6.25%, 04/20/21   201,561 
     Turkiye Halk Bankasi AS 144A     
 1,050,000   3.88%, 02/05/20   1,012,335 
 200,000   4.75%, 02/11/21   183,096 
 200,000   5.00%, 07/13/21   182,910 
     Turkiye Is Bankasi AS 144A     
 1,200,000   5.00%, 04/30/20   1,184,515 
 300,000   5.50%, 04/21/22   282,802 
 1,900,000   6.00%, 10/24/22   1,707,853 
 1,200,000   6.13%, 04/25/24   1,074,764 
 150,000   7.00% (USD Swap Semi 30/360 5 Year+5.12%), 06/29/23 (c)   123,376 
     Turkiye Sinai Kalkinma Bankasi AS Reg S     
 400,000   5.13%, 04/22/20   393,272 
 350,000   5.50%, 01/16/23   309,965 
 200,000   7.63% (USD Swap Semi 30/360 5 Year+5.54%), 03/29/22 (c)   170,138 
 500,000   Turkiye Sise ve Cam Fabrikalari AS 144A
4.25%, 05/09/20
   496,140 
     Turkiye Vakiflar Bankasi TAO 144A     
 300,000   5.50%, 10/27/21   288,956 
 100,000   5.63%, 05/30/22   94,960 
 800,000   5.75%, 01/30/23   740,781 
 800,000   6.00%, 11/01/22   721,134 
 350,000   8.00% (USD Swap Semi 30/360 5 Year+5.84%), 11/01/22 (c)   302,254 
     Yapi ve Kredi Bankasi AS 144A     
 1,950,000   5.50%, 12/06/22   1,753,752 
 750,000   5.85%, 06/21/24   672,544 
         22,813,273 
United Arab Emirates: 0.7%     
 600,000   First Abu Dhabi Bank PJSC Reg S
5.25% (USD Swap Semi 30/360 5 Year+3.35%), 06/17/20 (c)
   603,114 
     Oztel Holdings SPC Ltd. 144A     
 400,000   5.63%, 10/24/23 †   390,710 
 850,000   6.63%, 04/24/28   803,277 
         1,797,101 
United Kingdom: 4.5%     
     AngloGold Ashanti Holdings Plc     
 600,000   5.13%, 08/01/22   613,500 
 600,000   5.38%, 04/15/20   609,690 
 400,000   6.50%, 04/15/40   392,500 
 1,200,062   DTEK Finance Plc
10.75% 03/04/19 (c)
   1,162,260 
 400,000   Hikma Pharmaceuticals Plc Reg S
4.25%, 04/10/20
   399,084 
 600,000   Liquid Telecommunications Financing Plc 144A
8.50%, 07/13/20 (c)
   614,615 
 520,000   Oschadbank 144A
9.38%, 03/10/23 (s)
   520,078 
 600,000   Petra Diamonds US Treasury Plc 144A
7.25%, 05/01/19 (c)
   565,500 
     Polyus Finance Plc 144A     
 550,000   4.70%, 03/28/22   543,399 
 350,000   4.70%, 01/29/24   336,712 
 600,000   5.25%, 02/07/23   596,013 
 650,000   Polyus Gold International Ltd. 144A
5.63%, 04/29/20
   657,579 
 1,200,000   Tullow Oil Plc 144A
6.25%, 02/11/19 (c)
   1,188,971 
 500,000   Ukraine Railways 144A
9.88%, 09/15/21
   497,625 
     Vedanta Resources Plc 144A     
 1,450,000   6.13%, 08/09/21 (c) †   1,322,624 
 1,310,000   8.25%, 06/07/21   1,351,265 
         11,371,415 
United States: 3.1%     
 1,170,000   Cemex Finance LLC 144A
6.00%, 04/01/19 (c)
   1,195,167 
     DAE Funding LLC 144A     
 300,000   4.00%, 08/01/19 (c)   297,000 
 2,000,000   5.00%, 08/01/20 (c)   1,971,000 
 200,000   5.25%, 10/15/21 (c)   202,000 
     JBS USA LUX SA / JBS USA Finance, Inc. 144A     
 900,000   5.75%, 06/15/20 (c)   901,125 
 100,000   5.88%, 07/15/19 (c)   101,625 
 100,000   6.75%, 02/15/23 (c)   102,500 
 635,000   7.25%, 03/06/19 (c)   644,157 
 400,000   Kosmos Energy Ltd. 144A
7.88%, 03/04/19 (c)
   401,500 
 571,375   Rio Oil Finance Trust 144A
9.25%, 07/06/24
   618,513 
 700,000   Stillwater Mining Co. 144A
7.13%, 06/27/21 (c)
   668,255 
 425,000   Teva Pharmaceutical Finance Co. LLC
6.15%, 02/01/36
   403,645 
 350,000   Teva Pharmaceutical Finance IV LLC
2.25%, 03/18/20
   341,914 
         7,848,401 

Total Corporate Bonds
(Cost: $242,846,178)

   234,014,517 
GOVERNMENT OBLIGATIONS: 6.1%     
Argentina: 3.6%     
     City of Buenos Aires 144A     
 875,000   7.50%, 06/01/27   802,287 
 400,000   8.95%, 02/19/21   404,000 
 350,000   Province of Salta 144A
9.13%, 07/07/24
   293,650 
     Provincia de Buenos Aires 144A     
 600,000   6.50%, 02/15/23   522,000 
 1,850,000   7.88%, 06/15/27   1,526,250 
 1,380,000   9.13%, 03/16/24   1,259,954 
 950,000   9.95%, 06/09/21   931,247 
 355,000   10.88%, 01/26/21 †   362,636 
 400,000   Provincia de Chubut 144A
7.75%, 07/26/26
   351,000 
     Provincia de Cordoba 144A     
 800,000   7.13%, 06/10/21   754,000 
 600,000   7.13%, 08/01/27   472,500 
 500,000   Provincia de Entre Rios 144A
8.75%, 02/08/25
   395,100 
 200,000   Provincia de la Rioja 144A
9.75%, 02/24/25
   166,000 
 400,000   Provincia de Mendoza 144A
8.38%, 05/19/24
   346,000 
 550,000   Provincia de Neuquen 144A
8.63%, 05/12/28
   540,375 
         9,126,999 
Azerbaijan: 0.3%     
 850,000   State Oil Co. of the Azerbaijan Republic Reg S
4.75%, 03/13/23
   859,001 
Cayman Islands: 0.2%     
 500,000   Brazil Minas SPE 144A
5.33%, 02/15/28
   509,875 
Costa Rica: 0.3%     
     Instituto Costarricense de Electricidad 144A     
 300,000   6.38%, 05/15/43   221,625 
 500,000   6.95%, 11/10/21   484,375 
         706,000 
Kazakhstan: 0.3%     
 700,000   KazAgro National Management Holding JSC 144A
4.63%, 05/24/23
   712,442 
Mongolia: 0.1%     
 400,000   Development Bank of Mongolia LLC 144A
7.25%, 10/23/23
   400,800 
Turkey: 0.9%     
     Export Credit Bank of Turkey 144A     
 400,000   4.25%, 09/18/22   371,018 
 500,000   5.00%, 09/23/21   484,407 
 300,000   5.38%, 02/08/21   294,869 
 400,000   5.38%, 10/24/23   375,205 
 400,000   6.13%, 05/03/24   379,536 
 400,000   8.25%, 01/24/24   414,586 
         2,319,621 
Ukraine: 0.4%     
 1,065,000   Ukreximbank 144A
9.75%, 01/22/25
   1,035,712 
Total Government Obligations
(Cost: $17,251,240)
   15,670,450 

 

Number
of Shares
        
MONEY MARKET FUND: 0.9%
(Cost: $2,291,368)
   
 2,291,368   Dreyfus Government Cash Management Fund - Institutional Shares   2,291,368 
Total Investments Before Collateral for Securities Loaned: 98.7%
(Cost: $262,388,786)
   251,976,335 

 

Principal
Amount
        
SHORT-TERM INVESTMENTS HELD AS COLLATERAL FOR SECURITIES ON LOAN: 6.5%     
Repurchase Agreements: 6.5%     
$3,936,383   Repurchase agreement dated 1/31/19 with Citigroup Global Markets, Inc., 2.57%, due 2/1/19, proceeds $3,936,664; (collateralized by various U.S. government and agency obligations, 0.00% to 9.50%, due 3/31/19 to 2/1/49, valued at $4,015,111 including accrued interest)   3,936,383 
 808,519   Repurchase agreement dated 1/31/19 with Credit Agricole CIB, 2.57%, due 2/1/19, proceeds $808,577; (collateralized by various U.S. government and agency obligations, 0.25% to 2.88%, due 9/30/20 to 5/15/28, valued at $824,689 including accrued interest)   808,519 
 3,936,383   Repurchase agreement dated 1/31/19 with Daiwa Capital Markets America, Inc., 2.57%, due 2/1/19, proceeds $3,936,664; (collateralized by various U.S. government and agency obligations, 0.00% to 6.50%, due 2/7/19 to 9/9/49, valued at $4,015,111 including accrued interest)   3,936,383 
 3,936,383   Repurchase agreement dated 1/31/19 with Merrill Lynch, Pierce, Fenner & Smith, Inc., 2.57%, due 2/1/19, proceeds $3,936,664; (collateralized by various U.S. government and agency obligations, 2.00% to 10.50%, due 2/15/19 to 1/1/49, valued at $4,015,111 including accrued interest)   3,936,383 
 3,936,383   Repurchase agreement dated 1/31/19 with Mizuho Securities USA, Inc., 2.57%, due 2/1/19, proceeds $3,936,664; (collateralized by various U.S. government and agency obligations, 0.00% to 3.50%, due 4/18/19 to 2/1/48, valued at $4,015,111 including accrued interest)   3,936,383 
Total Short-Term Investments Held As Collateral For Securities On Loan
(Cost: 16,554,051)
   16,554,051 
Total Investments: 105.2%
(Cost: $278,942,837)
   268,530,386 
Liabilities in excess of other assets: (5.2)%   (13,273,488)
NET ASSETS: 100.0%  $255,256,898 

 

Footnotes:

(c)Callable Security - the redemption date shown is when the security may be redeemed by the issuer
(d)Security in default of coupon payment
(p)Puttable Security - the redemption date shown is when the security may be redeemed by the investor
(s)The rate shown reflects the rate in effect at the end of the reporting period. Coupon adjusts periodically based upon a predetermined schedule
Security fully or partially on loan. Total market value of securities on loan is $16,023,043.
#Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $0 which represents 0.0% of net assets.
§Illiquid Security — the aggregate value of illiquid securities is $1,665 which represents 0.0% of net assets.
Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
144ASecurity exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $179,463,317, or 70.3% of net assets.

 

Summary of Investments
by Sector Excluding
Collateral for Securities
Loaned
  % of
Investments
  Value 
Basic Materials    11.1%     $27,887,262 
Communications  6.9    17,439,622 
Consumer, Cyclical  4.0    10,175,522 
Consumer, Non-cyclical  8.1    20,439,436 
Diversified  1.1    2,728,870 
Energy  13.9    35,124,033 
Financial  35.8    90,088,382 
Government  6.2    15,670,450 
Industrial  6.0    15,201,659 
Technology  0.2    399,262 
Utilities  5.8    14,530,469 
Money Market Fund  0.9    2,291,368 
     100.0%  $251,976,335 

 

The summary of inputs used to value the Fund’s investments as of January 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Corporate Bonds*  $   $234,014,517   $0   $234,014,517 
Government Obligations*       15,670,450        15,670,450 
Money Market Funds   2,291,368            2,291,368 
Repurchase Agreements       16,554,051        16,554,051 
Total  $2,291,368   $266,239,018   $   $268,530,386 

 

* See Schedule of Investments for geographic sector breakouts.

 

The following table reconciles the valuation of the Fund’s Level 3 investment securities and related transactions during the period ended January 31, 2019:

 

   Corporate Bonds 
   Ireland 
Balance as of April 30, 2018  $0 
Realized gain (loss)    
Net change in unrealized appreciation (depreciation)    
Purchases    
Sales    
Transfers in and/or out of level 3    
Balance as of January 31, 2019  $0 

 

See Notes to Schedules of Investments

 

VANECK VECTORS FALLEN ANGEL HIGH YIELD BOND ETF

SCHEDULE OF INVESTMENTS

January 31, 2019 (unaudited)

 

Principal
Amount
      Value 
CORPORATE BONDS: 97.8%    
Bermuda: 1.6%    
$1,865,000   Weatherford Bermuda Ltd.
9.88%, 03/01/39
  $1,137,650 
     Weatherford International Ltd.     
 4,798,000   4.50%, 01/15/22 (c) †   3,070,720 
 2,704,000   5.13%, 09/15/20   2,095,600 
 2,579,000   5.95%, 10/17/41 (c)   1,470,030 
 3,225,000   6.50%, 08/01/36   1,878,563 
 3,424,000   6.75%, 09/15/40   1,968,800 
 3,510,000   7.00%, 03/15/38   2,027,025 
         13,648,388 
Canada: 2.7%    
 1,845,000   Bombardier, Inc. 144A
7.45%, 05/01/34
   1,669,725 
 1,980,000   Enbridge, Inc.
5.50% (ICE LIBOR USD 3 Month+3.42%), 07/15/27 (c)
   1,807,711 
     Teck Resources Ltd.     
 3,035,000   5.20%, 09/01/41 (c)   2,845,312 
 2,696,000   5.40%, 08/01/42 (c)   2,574,680 
 3,714,000   6.00%, 02/15/40 (c)   3,751,140 
 4,537,000   6.13%, 10/01/35   4,763,850 
 5,880,000   6.25%, 01/15/41 (c)   6,144,600 
         23,557,018 
Cayman Islands: 2.7%    
     Noble Holding International Ltd.     
 3,638,000   5.25%, 03/15/42   2,210,085 
 2,979,000   6.05%, 03/01/41   1,861,875 
 3,088,000   6.20%, 08/01/40   1,930,000 
 3,360,000   7.95%, 01/01/25 (c) †   2,738,400 
 2,923,000   8.95%, 10/01/44 (c) †   2,323,785 
     Transocean, Inc.     
 7,376,000   6.80%, 03/15/38   5,587,320 
 5,303,000   7.50%, 04/15/31   4,321,945 
 2,190,000   9.35%, 12/15/41   2,047,650 
         23,021,060 
Finland: 0.4%    
 3,700,000   Nokia OYJ
6.63%, 05/15/39
   3,866,500 
Germany: 2.3%    
     Deutsche Bank AG     
 11,150,000   4.30% (USD Swap Semi 30/360 5 Year+2.25%), 05/24/23 (c)   9,910,883 
 11,071,000   4.50%, 04/01/25 †   10,215,529 
         20,126,412 
Ireland: 0.3%    
 2,161,000   Smurfit Kappa Treasury Funding Ltd.
7.50%, 11/20/25
   2,468,942 
Italy: 1.6%    
 14,779,000   Intesa Sanpaolo SpA 144A
5.02%, 06/26/24
   13,578,692 
Luxembourg: 3.2%    
     Telecom Italia Capital     
 7,413,000   6.00%, 09/30/34   6,488,599 
 7,401,000   6.38%, 11/15/33   6,757,113 
 7,415,000   7.20%, 07/18/36   7,194,774 
 7,479,000   7.72%, 06/04/38   7,481,244 
         27,921,730 
Sweden: 0.9%    
 7,406,000   Ericsson LM
4.13%, 05/15/22
   7,408,635 
United Kingdom: 5.2%    
 4,420,000   Barclays Bank Plc
6.28% (ICE LIBOR USD 3 Month+1.55%), 12/15/34 (c)
   4,267,178 
     Ensco Plc     
 4,648,000   4.50%, 07/01/24 (c) †   3,462,760 
 5,065,000   5.20%, 12/15/24 (c) †   3,798,750 
 7,410,000   5.75%, 04/01/44 (c)   4,872,075 
     Lloyds Banking Group Plc 144A     
 2,810,000   6.41% (ICE LIBOR USD 3 Month+1.50%), 10/01/35 (c)   2,753,800 
 3,244,000   6.66% (ICE LIBOR USD 3 Month+1.27%), 05/21/37 (c)   3,189,241 
 5,682,000   Royal Bank of Scotland Group Plc
7.65% (ICE LIBOR USD 3 Month+2.50%), 09/30/31 (c)
   6,949,768 
 2,962,000   Signet UK Finance Plc
4.70%, 03/15/24 (c) †
   2,539,915 
 5,495,000   Standard Chartered Plc 144A
7.01% (ICE LIBOR USD 3 Month+1.46%), 07/30/37 (c) †
   5,674,659 
 3,977,000   Tesco Plc 144A
6.15%, 11/15/37
   4,139,842 
 3,414,000   Virgin Media Secured Finance Plc
5.25%, 01/15/21
   3,444,931 
         45,092,919 
United States: 76.9%    
     ADT Corp.     
 7,375,000   3.50%, 07/15/22   7,126,094 
 5,149,000   4.13%, 06/15/23   4,968,785 
     Allegheny Technologies, Inc.     
 3,682,000   5.95%, 10/15/20 (c)   3,750,191 
 3,728,000   7.88%, 05/15/23 (c)   3,988,960 
 3,820,000   Ally Financial, Inc.
8.00%, 11/01/31
   4,603,100 
     Arconic, Inc.     
 9,236,000   5.40%, 01/15/21 (c)   9,432,265 
 4,665,000   5.87%, 02/23/22   4,839,937 
 4,724,000   5.90%, 02/01/27   4,747,620 
 4,477,000   5.95%, 02/01/37   4,286,727 
 7,422,000   6.15%, 08/15/20   7,653,937 
 2,397,000   6.75%, 01/15/28   2,420,970 
     Avon Products, Inc.     
 3,029,000   6.60%, 03/15/20   3,044,145 
 3,566,000   7.00%, 03/15/23   3,227,230 
     Bed Bath & Beyond, Inc.     
 2,160,000   3.75%, 05/01/24 (c) †   1,908,212 
 2,225,000   4.92%, 02/01/34 (c)   1,644,228 
 6,547,000   5.17%, 02/01/44 (c)   4,838,069 
     Carpenter Technology Corp.     
 2,233,000   4.45%, 12/01/22 (c)   2,197,055 
 1,793,000   5.20%, 04/15/21 (c)   1,808,437 
     CBL & Associates LP     
 2,221,000   4.60%, 07/15/24 (c) †   1,715,723 
 3,258,000   5.25%, 09/01/23 (c) †   2,753,010 
 4,637,000   5.95%, 09/15/26 (c) †   3,698,007 
 3,678,000   CDK Global, Inc.
5.00%, 07/15/24 (c)
   3,678,000 
     CenturyLink, Inc.     
 3,083,000   6.88%, 01/15/28   2,820,328 
 5,925,000   7.60%, 09/15/39   4,888,125 
     CF Industries Holdings, Inc.     
 5,546,000   3.45%, 06/01/23   5,372,687 
 5,601,000   4.95%, 06/01/43   4,664,513 
 5,571,000   5.15%, 03/15/34   5,208,885 
 5,569,000   5.38%, 03/15/44   4,860,623 
 2,182,000   Cliffs Natural Resources, Inc.
6.25%, 10/01/40
   1,800,150 
     Continental Resources, Inc.     
 7,473,000   3.80%, 03/01/24 (c)   7,393,496 
 5,205,000   4.90%, 12/01/43 (c)   4,986,906 
 2,576,000   Crown Cork & Seal Co., Inc.
7.38%, 12/15/26
   2,823,940 
     DCP Midstream Operating LP     
 3,624,000   3.88%, 12/15/22 (c)   3,542,460 
 2,768,000   4.95%, 01/01/22 (c)   2,802,600 
 2,969,000   5.60%, 10/01/43 (c)   2,709,212 
 2,163,000   8.13%, 08/16/30   2,498,265 
     DCP Midstream Operating LP 144A     
 3,709,000   4.75%, 06/30/21 (c)   3,736,817 
 4,449,000   5.35%, 03/15/20   4,521,296 
 2,375,000   6.45%, 11/03/36   2,404,688 
 3,071,000   6.75%, 09/15/37   3,163,130 
     Dell, Inc.     
 2,958,000   4.63%, 04/01/21   2,985,731 
 1,919,000   5.40%, 09/10/40   1,621,555 
 2,894,000   6.50%, 04/15/38   2,737,406 
 2,245,000   7.10%, 04/15/28 †   2,393,844 
     Diamond Offshore Drilling, Inc.     
 1,821,000   3.45%, 08/01/23 (c)   1,543,298 
 5,621,000   4.88%, 05/01/43 (c)   3,513,125 
 3,793,000   5.70%, 10/15/39   2,617,170 
 7,365,000   Dresdner Funding Trust I 144A
8.15%, 06/30/29 (c)
   8,945,581 
     Dun & Bradstreet Corp.     
 2,184,000   4.25%, 05/15/20 (c)   2,204,388 
 2,255,000   4.63%, 09/01/22 (c)   2,352,720 
     Edgewell Personal Care     
 4,469,000   4.70%, 05/19/21   4,519,276 
 3,737,000   4.70%, 05/24/22   3,751,014 
 11,013,000   Embarq Corp.
8.00%, 06/01/36
   10,462,350 
     EMC Corporation     
 14,893,000   2.65%, 06/01/20   14,663,201 
 7,451,000   3.38%, 03/01/23 (c)   7,078,230 
 2,967,000   Energen Corp.
4.63%, 06/01/21 (c)
   2,991,626 
     EnLink Midstream Partners LP     
 5,604,000   4.15%, 03/01/25 (c)   5,267,760 
 4,110,000   4.40%, 01/01/24 (c)   3,948,169 
 3,350,000   5.05%, 10/01/44 (c)   2,780,500 
 2,560,000   5.60%, 10/01/43 (c)   2,220,800 
     Freeport-McMoRan, Inc.     
 7,406,000   3.10%, 03/15/20   7,341,197 
 14,082,000   3.55%, 12/01/21 (c)   13,659,540 
 14,290,000   3.88%, 12/15/22 (c)   13,754,125 
 4,483,000   4.00%, 11/14/21   4,443,774 
 6,355,000   4.55%, 08/14/24 (c)   6,116,687 
 5,597,000   5.40%, 05/14/34 (c)   4,981,330 
 13,799,000   5.45%, 09/15/42 (c)   11,936,135 
 7,001,000   Frontier Communications Corp.
9.00%, 08/15/31 †
   3,868,052 
 2,210,000   Frontier Florida LLC
6.86%, 02/01/28
   1,939,275 
     Genworth Holdings, Inc.     
 2,829,000   4.80%, 02/15/24 †   2,454,157 
 2,740,000   4.90%, 08/15/23   2,418,050 
 2,191,000   6.50%, 06/15/34 †   1,824,008 
 2,912,000   7.20%, 02/15/21   2,953,860 
 5,141,000   7.63%, 09/24/21   5,192,410 
 3,013,000   7.70%, 06/15/20   3,088,325 
 2,219,000   Global Marine, Inc.
7.00%, 06/01/28 †
   1,952,720 
 8,720,000   Goldman Sachs Capital  I
6.35%, 02/15/34
   10,349,675 
 2,225,000   H.B. Fuller Co.
4.00%, 11/15/26 (c)
   1,924,625 
 2,145,000   HCA, Inc.
7.69%, 06/15/25
   2,364,863 
 1,805,000   IFM US Colonial Pipeline 2 LLC 144A
6.45%, 02/01/21 (c)
   1,868,204 
     Ingram Micro, Inc.     
 2,227,000   5.00%, 02/10/22 (c)   2,183,183 
 3,748,000   5.45%, 09/15/24 (c)   3,663,676 
     JC Penney Corp., Inc.     
 2,731,000   6.38%, 10/15/36   887,575 
 2,288,000   7.40%, 04/01/37 (p) †   846,560 
 3,561,000   7.63%, 03/01/97   1,228,545 
     L Brands, Inc.     
 2,597,000   6.95%, 03/01/33   2,103,570 
 2,235,000   7.60%, 07/15/37   1,765,650 
 3,326,000   Leidos Holdings, Inc.
4.45%, 09/01/20 (c)
   3,390,192 
 1,970,000   Leonardo US Holdings, Inc. 144A
6.25%, 01/15/40
   1,763,150 
 2,545,000   Lexmark International, Inc.
7.13%, 03/15/20
   2,137,800 
     Mack-Cali Realty LP     
 2,088,000   3.15%, 02/15/23 (c)   1,785,218 
 2,146,000   4.50%, 01/18/22 (c)   1,993,745 
 2,953,000   Magellan Health, Inc.
4.40%, 07/22/24 (c)
   2,786,141 
     Mattel, Inc.     
 2,604,000   2.35%, 07/15/21 (c)   2,428,230 
 1,937,000   3.15%, 12/15/22 (c)   1,694,875 
 1,845,000   4.35%, 10/01/20   1,821,938 
 2,218,000   5.45%, 05/01/41 (c)   1,663,500 
 1,737,000   6.20%, 10/01/40   1,359,203 
 1,946,000   MBIA, Inc.
6.40%, 03/04/19 (c)
   1,887,620 
 732,000   McClatchy Co.
6.88%, 03/15/29
   915,000 
     MDC Holdings, Inc.     
 1,783,000   5.50%, 10/15/23 (c)   1,800,830 
 1,851,000   5.63%, 02/01/20   1,901,903 
 3,706,000   6.00%, 10/15/42 (c)   3,085,245 
     Murphy Oil Corp.     
 3,706,000   4.00%, 03/01/22 (c)   3,634,351 
 4,496,000   4.45%, 09/01/22 (c)   4,430,251 
 2,573,000   5.88%, 06/01/42 (c)   2,154,074 
 1,865,000   7.05%, 05/01/29   1,910,150 
     Nabors Industries, Inc.     
 5,241,000   4.63%, 09/15/21   4,985,501 
 5,233,000   5.00%, 09/15/20   5,180,670 
 2,540,000   5.10%, 06/15/23 (c)   2,216,150 
     New Albertsons, Inc.     
 4,679,000   7.45%, 08/01/29   4,117,520 
 3,072,000   8.00%, 05/01/31   2,772,787 
 3,663,000   NGPL Pipeco LLC 144A
7.77%, 12/15/37
   4,385,124 
     NuStar Logistics, LP     
 1,851,000   4.75%, 11/01/21 (c)   1,813,980 
 3,359,000   4.80%, 09/01/20   3,388,391 
     Oceaneering International, Inc.     
 3,734,000   4.65%, 08/15/24 (c)   3,192,570 
 2,175,000   6.00%, 11/01/27 (c)   1,870,500 
     Owens & Minor, Inc.     
 2,025,000   3.88%, 09/15/21   1,766,813 
 2,095,000   4.38%, 09/15/24 (c)   1,623,625 
 2,041,000   Pactiv LLC
7.95%, 12/15/25
   2,030,795 
     Pitney Bowes, Inc.     
 2,251,000   3.88%, 09/15/20   2,225,676 
 4,434,000   3.88%, 09/01/21 (c)   4,356,405 
 2,993,000   4.38%, 04/15/22 (c)   2,834,371 
 3,750,000   4.63%, 12/15/23 (c)   3,384,375 
 2,981,000   4.95%, 03/01/23 (c)   2,763,029 
     PulteGroup, Inc.     
 2,307,000   6.00%, 02/15/35   2,035,928 
 2,909,000   6.38%, 05/15/33   2,712,642 
 2,202,000   7.88%, 06/15/32   2,345,130 
     Qwest Capital Funding, Inc.     
 2,616,000   6.88%, 07/15/28   2,210,520 
 2,612,000   7.75%, 02/15/31   2,213,670 
     Qwest Corp.     
 7,102,000   6.75%, 12/01/21   7,608,160 
 6,335,000   6.88%, 03/04/19 (c)   5,978,385 
 1,892,000   7.13%, 03/04/19 (c)   1,755,685 
 1,815,000   7.25%, 09/15/25   1,918,083 
 2,881,000   RBS Capital Trust II
6.43% (ICE LIBOR USD 3 Month+1.94%), 01/03/34 (c)
   3,442,795 
 2,119,000   Rite Aid Corp.
7.70%, 02/15/27
   1,462,110 
     Rowan Cos, Inc.     
 2,942,000   4.75%, 10/15/23 (c) †   2,368,310 
 4,634,000   4.88%, 03/01/22 (c)   4,121,016 
 2,937,000   5.40%, 06/01/42 (c)   1,864,995 
 2,911,000   5.85%, 07/15/43 (c)   1,899,428 
 4,435,795   Ruby Pipeline LLC 144A
6.00%, 04/01/22
   4,367,843 
 3,912,000   Safeway, Inc.
7.25%, 02/01/31 †
   3,520,800 
     SCANA Corporation     
 1,163,000   4.75%, 02/15/21 (c) †   1,180,865 
 1,810,000   6.25%, 04/01/20   1,853,912 
     Sealed Air Corp. 144A     
 225,000   4.88%, 09/01/22 (c)   228,094 
 3,115,000   6.88%, 07/15/33   3,161,725 
     SLM Corp.     
 4,316,000   5.63%, 08/01/33   3,312,530 
 11,200,000   8.00%, 03/25/20   11,690,000 
 6,926,000   Southwestern Energy Co.
6.20%, 10/23/24 (c)
   6,770,165 
     Sprint Capital Corp.     
 18,393,000   6.88%, 11/15/28   18,324,026 
 14,853,000   8.75%, 03/15/32   16,338,300 
     Symantec Corp.     
 2,983,000   3.95%, 03/15/22 (c)   2,946,625 
 5,566,000   4.20%, 09/15/20   5,593,044 
 2,732,000   Tenet Healthcare Corp.
6.88%, 11/15/31
   2,431,480 
 1,266,855   Topaz Solar Farms LLC 144A
5.75%, 09/30/39
   1,226,303 
 2,980,000   Trinity Industries, Inc.
4.55%, 07/01/24 (c)
   2,767,739 
 4,436,000   Under Armour, Inc.
3.25%, 03/15/26 (c)
   3,908,470 
 4,060,000   United States Cellular Corp.
6.70%, 12/15/33
   4,202,100 
 2,597,000   United States Steel Corp.
6.65%, 06/01/37
   2,181,480 
 1,839,000   Weatherford International LLC
6.80%, 06/15/37
   1,066,620 
     Wyndham Destinations, Inc.     
 2,927,000   3.90%, 12/01/22 (c)   2,764,186 
 4,839,000   4.25%, 12/01/21 (c)   4,851,097 
 2,180,000   5.40%, 02/01/24 (c)   2,126,852 
 2,912,000   5.75%, 01/01/27 (c)   2,791,880 
 2,706,000   6.35%, 07/01/25 (c)   2,712,765 
     Xerox Corp.     
 2,787,000   2.75%, 09/01/20   2,724,292 
 2,325,000   2.80%, 05/15/20   2,284,313 
 2,719,000   3.50%, 08/20/20   2,692,626 
 7,446,000   3.63%, 02/15/23 (c)   7,129,545 
 2,188,000   3.80%, 05/15/24   1,958,260 
 2,000,000   4.07%, 03/17/22   1,930,000 
 7,865,000   4.50%, 05/15/21   7,914,156 
 1,898,000   4.80%, 03/01/35   1,470,950 
 2,575,000   6.75%, 12/15/39 †   2,355,353 
 2,182,000   XPO CNW, Inc.
6.70%, 05/01/34
   1,996,691 
     Yum! Brands, Inc.     
 2,619,000   3.75%, 08/01/21 (c)   2,592,810 
 2,598,000   3.88%, 08/01/20 (c)   2,591,505 
 2,391,000   3.88%, 08/01/23 (c) †   2,337,203 
 2,065,000   5.35%, 05/01/43 (c)   1,750,707 
 2,423,000   6.88%, 11/15/37   2,416,943 
         664,089,148 
Total Corporate Bonds
(Cost: $889,946,650)
 844,779,444 

 

Number
of Shares
        
MONEY MARKET FUND: 1.4%
(Cost: $12,612,914)
   
 12,612,914   Dreyfus Government Cash Management Fund - Institutional Shares   12,612,914 
Total Investments Before Collateral for Securities Loaned: 99.2%
(Cost: $902,559,564)
 857,392,358 

 

Principal
Amount
        
SHORT-TERM INVESTMENTS HELD AS COLLATERAL FOR SECURITIES ON LOAN: 4.6%    
Repurchase Agreements: 4.6%    
$9,378,041   Repurchase agreement dated 1/31/19 with Citigroup Global Markets, Inc., 2.57%, due 2/1/19, proceeds $9,378,710; (collateralized by various U.S. government and agency obligations, 0.00% to 9.50%, due 3/31/19 to 2/1/49, valued at $9,565,602 including accrued interest)   9,378,041 
 9,378,041   Repurchase agreement dated 1/31/19 with Daiwa Capital Markets America, Inc., 2.57%, due 2/1/19, proceeds $9,378,710; (collateralized by various U.S. government and agency obligations, 0.00% to 6.50%, due 2/7/19 to 9/9/49, valued at $9,565,602 including accrued interest)   9,378,041 
 1,971,690   Repurchase agreement dated 1/31/19 with Deutsche Bank Securities, Inc., 2.56%, due 2/1/19, proceeds $1,971,830; (collateralized by various U.S. government and agency obligations, 2.63%, due 12/15/21, valued at $2,011,124 including accrued interest)   1,971,690 
 9,378,041   Repurchase agreement dated 1/31/19 with Merrill Lynch, Pierce, Fenner & Smith, Inc., 2.57%, due 2/1/19, proceeds $9,378,710; (collateralized by various U.S. government and agency obligations, 2.00% to 10.50%, due 2/15/19 to 1/1/49, valued at $9,565,602 including accrued interest)   9,378,041 
 9,378,041   Repurchase agreement dated 1/31/19 with Mizuho Securities USA, Inc., 2.57%, due 2/1/19, proceeds $9,378,710; (collateralized by various U.S. government and agency obligations, 0.00% to 3.50%, due 4/18/19 to 2/1/48, valued at $9,565,603 including accrued interest)   9,378,041 
Total Short-Term Investments Held As Collateral For Securities On Loan
(Cost: 39,483,854)
 39,483,854 
Total Investments: 103.8%
(Cost: $942,043,399)
 896,876,212 
Liabilities in excess of other assets: (3.8)%  (33,062,650)
NET ASSETS: 100.0% $863,813,562 

 

Footnotes:

(c) Callable Security - the redemption date shown is when the security may be redeemed by the issuer
(p) Puttable Security - the redemption date shown is when the security may be redeemed by the investor
Security fully or partially on loan. Total market value of securities on loan is $38,044,024.
144A Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $70,777,914, or 8.2% of net assets.

 

Summary of Investments
by Sector Excluding
Collateral for Securities
Loaned
  % of
Investments
  Value 
Basic Materials     18.2%     $155,920,374 
Communications   15.9    136,623,524 
Consumer, Cyclical   9.3    79,808,583 
Consumer, Non-cyclical   4.3    36,999,818 
Energy   21.0    179,919,378 
Financial   15.2    130,647,564 
Industrial   3.6    30,559,008 
Technology   10.6    91,266,418 
Utilities   0.4    3,034,777 
Money Market Fund   1.5    12,612,914 
    100.0%  $857,392,358 

 

The summary of inputs used to value the Fund’s investments as of January 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Corporate Bonds*  $   $844,779,444   $   $844,779,444 
Money Market Funds   12,612,914            12,612,914 
Repurchase Agreements       39,483,854        39,483,854 
Total  $12,612,914   $884,263,298   $   $896,876,212 

 

* See Schedule of Investments for geographic sector breakouts.

 

See Notes to Schedules of Investments

 

VANECK VECTORS GREEN BOND ETF

SCHEDULE OF INVESTMENTS

January 31, 2019 (unaudited)

 

Principal
Amount
      Value 
CORPORATE BONDS: 62.1%    
Australia: 1.6%     
AUD 30,000   Commonwealth Bank of Australia
3.25%, 03/31/22
  $22,200 
     National Australia Bank Ltd.     
USD 75,000   3.63%, 06/20/23   75,887 
AUD 60,000   4.00%, 12/16/21   45,312 
 100,000   National Australia Bank Ltd. Reg S
0.35%, 09/07/22
   114,418 
 200,000   Westpac Banking Corp. Reg S
3.10%, 06/03/21
   147,252 
         405,069 
Austria: 0.9%     
USD 100,000   Suzano Austria GmbH 144A
5.75%, 07/14/26
   104,901 
 100,000   Verbund AG Reg S
1.50%, 11/20/24
   120,985 
         225,886 
Brazil: 0.8%     
 100,000   Banco Nacional de Desenvolvimento Econômico e Social Reg S
4.75%, 05/09/24
   100,750 
 100,000   BRF SA Reg S
2.75%, 06/03/22
   113,607 
         214,357 
British Virgin Islands: 0.4%    
 98,300   Star Energy Geothermal Wayang Windu Ltd. 144A
6.75%, 04/24/26 (c)
   95,661 
Canada: 1.4%     
CAD 250,000   CPPIB Capital, Inc. Reg S
3.00%, 06/15/28
   195,171 
 100,000   Ontario Power Generation, Inc.
3.84%, 12/22/47 (c)
   74,325 
 100,000   Toronto-Dominion Bank
1.85%, 09/11/20
   98,502 
         367,998 
Cayman Islands: 1.6%     
 100,000   Fibria Overseas Finance Ltd.
5.50%, 01/17/27
   103,300 
 200,000   MTR Corp. CI Ltd. Reg S
2.50%, 11/02/26
   186,378 
 100,000   Three Gorges Finance II Cayman Islands Ltd. Reg S
1.30%, 06/21/24
   113,535 
         403,213 
Chile: 0.2%     
USD 50,000   Inversiones CMPC SA 144A
4.38%, 04/04/27
   49,696 
China / Hong Kong: 3.3%     
 200,000   Agricultural Bank of China Ltd. Reg S
2.75%, 10/20/20
   197,859 
     Bank of China Ltd. Reg S     
EUR 100,000   0.75%, 07/12/21   114,834 
USD 200,000   2.25%, 07/12/21   194,339 
 125,000   CGNPC International Ltd. Reg S
1.63%, 12/11/24
   142,130 
 200,000   China Development Bank Reg S
2.75%, 11/16/22
   196,128 
         845,290 
Costa Rica: 0.2%     
 50,000   Banco Nacional de Costa Rica 144A
5.88%, 04/25/21
   49,500 
Denmark: 0.6%     
EUR 140,000   Orsted A/S Reg S
1.50%, 08/26/29 (c)
   162,995 
Finland: 0.4%     
 100,000   Nordea Bank Abp Reg S
0.30%, 06/30/22
   114,896 
France: 10.0%     
 100,000   BNP Paribas Reg S
0.50%, 06/01/22
   115,537 
 100,000   Covivio Reg S
1.88%, 02/20/26 (c)
   113,949 
 100,000   Credit Agricole SA/London Reg S
0.75%, 12/05/23
   115,759 
     Electricite de France SA Reg S     
 100,000   1.00%, 07/13/26 (c)Reg S   113,174 
 100,000   2.25%, 04/27/21 Reg S   120,124 
USD 250,000   3.63%, 07/13/25 (c)144A   248,079 
     Engie SA Reg S     
EUR 200,000   1.38%, 11/28/28 (c)   231,405 
 100,000   1.50%, 12/27/27 (c)   119,211 
 200,000   2.38%, 05/19/26   252,257 
 100,000   HSBC France SA
0.63%, 12/03/20
   116,178 
 100,000   ICADE Reg S
1.50%, 06/13/27 (c)
   110,870 
 100,000   Paprec Holding SA Reg S
4.00%, 03/31/21 (c)
   98,250 
     SNCF Reseau EPIC Reg S     
 100,000   1.00%, 11/09/31   113,693 
 200,000   1.88%, 03/30/34   248,074 
 200,000   Societe Du Grand Paris EPIC Reg S
1.13%, 10/22/28
   236,645 
 100,000   Societe Generale SA Reg S
0.75%, 11/25/20
   116,403 
 100,000   Unibail-Rodamco SE Reg S
1.00%, 03/14/25
   115,648 
         2,585,256 
Germany: 9.9%       
     Berlin Hyp AG Reg S     
 100,000   0.50%, 09/26/23   113,506 
 100,000   1.13%, 10/25/27   113,947 
 100,000   1.50%, 04/18/28   115,830 
 100,000   Deutsche Kreditbank AG
0.63%, 06/08/21
   115,061 
     Kreditanstalt fuer Wiederaufbau     
 100,000   0.05%, 05/30/24   115,359 
 350,000   0.25%, 06/30/25   405,965 
SEK 2,310,000   0.50%, 01/27/21   257,423 
USD 50,000   1.75%, 10/15/19   49,710 
 130,000   1.88%, 11/30/20   128,341 
 100,000   2.00%, 11/30/21   98,489 
 100,000   2.00%, 09/29/22   97,999 
     Kreditanstalt fuer Wiederaufbau Reg S     
EUR 125,000   0.13%, 10/27/20   144,874 
 140,000   0.38%, 07/22/19   161,323 
SEK 500,000   1.38%, 02/02/28   57,122 
AUD 150,000   2.40%, 07/02/20   109,736 
 100,000   Landesbank Baden-Wuerttemberg Reg S
0.20%, 12/13/21
   114,500 
     NRW Bank Reg S     
 125,000   0.50%, 09/13/27   143,768 
 100,000   0.88%, 11/10/25   119,551 
 150,000   Senvion Holding GmbH Reg S
3.88%, 05/01/19 (c)
   91,227 
         2,553,731 
India: 0.2%     
USD 50,000   Axis Bank Ltd. 144A
2.88%, 06/01/21
   48,760 
Italy: 1.8%    
 100,000   Ferrovie dello Stato Italiane SpA Reg S
0.88%, 12/07/23
   111,218 
 100,000   Hera SpA Reg S
2.38%, 07/04/24
   121,696 
 100,000   Intesa Sanpaolo SpA Reg S
0.88%, 06/27/22
   112,517 
 100,000   Terna Rete Elettrica Nazionale SpA Reg S
1.00%, 07/23/23
   115,298 
         460,729 
Japan: 2.0%    
USD 200,000   Development Bank of Japan, Inc. Reg S
2.50%, 10/18/22
   197,324 
 100,000   Mitsubishi UFJ Financial Group, Inc. Reg S
0.68%, 01/26/23
   114,832 
 100,000   Mizuho Financial Group, Inc. Reg S
0.96%, 10/16/24
   115,354 
 100,000   Sumitomo Mitsui Banking Corp.
2.45%, 10/20/20
   99,045 
         526,555 
Luxembourg: 0.7%    
 40,000   Klabin Finance SA 144A
4.88%, 09/19/27
   37,650 
 125,000   Prologis International Funding II SA Reg S
1.75%, 12/15/27 (c)
   143,619 
         181,269 
Mauritius: 0.3%    
 100,000   Greenko Investment Co. 144A
4.88%, 08/16/19 (c)
   92,880 
Mexico: 0.2%    
 50,000   Mexico City Airport Trust 144A
3.88%, 01/30/28 (c)
   44,387 
Netherlands: 10.8%    
EUR 150,000   ABN Amro Bank NV Reg S
0.63%, 05/31/22
   174,153 
 50,000   ABN AMRO Bank NV Reg S
0.75%, 06/09/20
   57,952 
 100,000   Cooperatieve Rabobank UA Reg S
0.13%, 10/11/21
   114,926 
 100,000   EDP Finance BV Reg S
1.88%, 10/13/25
   117,123 
 40,000   EnBW International Finance BV Reg S
1.88%, 07/31/33 (c)
   47,701 
     Enel Finance International NV Reg S     
 200,000   1.00%, 09/16/24   228,352 
 100,000   1.13%, 06/16/26 (c)   110,287 
     Greenko Dutch BV 144A     
USD 100,000   4.88%, 07/24/19 (c)   96,625 
 50,000   5.25%, 07/24/20 (c)   46,492 
 100,000   Iberdrola International BV Reg S
1.13%, 04/21/26
   115,203 
 100,000   ING Bank NV Reg S
0.75%, 11/24/20
   116,299 
 150,000   ING Groep NV 144A
4.63%, 01/06/26
   154,344 
 100,000   innogy Finance BV Reg S
1.25%, 07/19/27 (c)
   112,905 
 100,000   Naturgy Finance BV Reg S
0.88%, 02/15/25 (c)
   112,529 
 2,000,000   Nederlandse Waterschapsbank NV
1.00%, 04/11/25
   223,603 
     Nederlandse Waterschapsbank NV Reg S     
 300,000   0.70%, 01/25/23   33,459 
EUR 250,000   1.00%, 09/03/25   300,751 
     TenneT Holding BV Reg S     
 120,000   0.88%, 03/04/21 (c)   140,176 
 200,000   1.75%, 03/04/27 (c)   242,532 
 200,000   2.00%, 03/05/34 (c)   241,997 
         2,787,409 
Norway: 1.6%    
 200,000   DNB Boligkreditt AS Reg S
0.63%, 06/19/25
   232,448 
 150,000   SpareBank 1 Boligkreditt AS Reg S
0.50%, 01/30/25
   173,421 
         405,869 
South Korea: 0.6%    
USD50,000   Hyundai Capital Services, Inc. 144A
2.88%, 03/16/21
   49,242 
 100,000   Korea Hydro & Nuclear Power Co. Ltd. 144A
3.75%, 07/25/23
   101,479 
         150,721 
Spain: 4.0%    
EUR 100,000   ACS Servicios Comunicaciones y Energia SL Reg S
1.88%, 01/20/26 (c)
   108,571 
     Adif - Alta Velocidad Reg S     
 100,000   0.80%, 07/05/23   116,520 
 100,000   1.25%, 05/04/26   116,125 
 100,000   Banco Bilbao Vizcaya Argentaria SA Reg S
1.38%, 05/14/25
   113,848 
     Iberdrola Finanzas SA Reg S     
 100,000   1.00%, 12/07/23 (c)   116,793 
 300,000   1.00%, 12/07/24 (c)   346,795 
 100,000   1.25%, 09/13/27   114,313 
         1,032,965 
Sweden: 0.9%     
 100,000   Skandinaviska Enskilda Banken AB Reg S
0.30%, 02/17/22
   114,919 
 100,000   Swedbank AB Reg S
0.25%, 11/07/22
   114,361 
         229,280 
United Kingdom: 1.3%    
GBP 100,000   Anglian Water Services Financing Plc Reg S
1.63%, 05/10/25 (c)
   127,868 
 100,000   Barclays Plc  Reg S
0.63% (EUR Swap Annual 1 Year+.50%), 11/14/22 (c)
   110,775 
 100,000   SSE Plc Reg S
0.88%, 06/06/25 (c)
   111,574 
         350,217 
United States: 6.4%     
     Apple, Inc.     
USD 200,000   2.85%, 12/23/22 (c)   200,754 
 100,000   3.00%, 03/20/27 (c)   97,798 
 50,000   Avangrid, Inc.
3.15%, 10/01/24 (c)
   48,575 
 100,000   Bank of America Corp.
2.15%, 11/09/19 (c)
   98,698 
 100,000   Boston Properties LP
4.50%, 09/01/28 (c)
   103,491 
 100,000   Digital Realty Trust LP
3.95%, 05/01/22 (c)
   101,176 
 100,000   Duke Energy Carolinas LLC
3.95%, 08/15/28 (c)
   103,922 
 80,000   Kaiser Foundation Hospitals
3.15%, 02/01/27 (c)
   78,189 
     MidAmerican Energy Co.     
 100,000   3.10%, 02/01/27 (c)   97,583 
 100,000   3.65%, 02/01/48 (c)   92,760 
 100,000   Public Service Co. of Colorado
3.70%, 12/15/27 (c)
   101,733 
 50,000   Regency Centers LP
3.75%, 03/15/24 (c)
   49,795 
     Southern Power Co.     
EUR 100,000   1.00%, 06/20/22   116,351 
USD 100,000   1.95%, 12/15/19   99,135 
 100,000   4.15%, 09/01/25 (c)   99,601 
 50,000   TerraForm Power Operating LLC 144A
6.63%, 06/15/20 (c) (s) †
   52,687 
 100,000   Toyota Motor Credit Corp. Reg S
07/21/21
   114,605 
         1,656,853 
Total Corporate Bonds
(Cost: $16,239,540)
 16,041,442 
GOVERNMENT OBLIGATIONS: 37.2%    
Australia: 0.3%     
AUD 100,000   Queensland Treasury Corp. 144A Reg S
3.00%, 03/22/24
   75,534 
Belgium: 1.8%     
EUR400,000   Kingdom of Belgium Government Bond Reg S
1.25%, 04/22/33
   471,984 
Canada: 1.7%     
USD 100,000   Export Development Canada
1.63%, 06/01/20
   98,769 
     Province of Ontario Canada     
CAD 165,000   1.95%, 01/27/23   124,545 
 100,000   2.65%, 02/05/25   77,143 
 170,000   Province of Quebec Canada
1.65%, 03/03/22
   128,033 
         428,490 
Denmark: 0.9%     
EUR 200,000   Kommunekredit Reg S
0.75%, 07/05/28
   232,319 
Finland: 0.2%     
USD 50,000   Municipality Finance Plc 144A
1.38%, 09/21/21
   48,389 
France: 9.4%     
EUR 100,000   Caisse des dépôts et consignations Reg S
0.20%, 03/01/22
   116,400 
 100,000   City of Paris France Reg S
1.75%, 05/25/31
   124,408 
 100,000   French Development Agency Reg S
1.38%, 09/17/24
   121,841 
 1,450,000   French Republic Government Bond OAT 144A Reg S
1.75%, 06/25/39
   1,816,376 
 200,000   Region of Ile de France Reg S
2.38%, 04/24/26
   262,112 
         2,441,137 
Ireland: 1.5%    
  325,000   Ireland Government Bond Reg S
1.35%, 03/18/31
   385,196 
Lithuania: 0.5%     
 100,000   Lietuvos Energija UAB Reg S
2.00%, 07/14/27
   116,605 
Mexico: 0.2%     
USD 50,000   Nacional Financiera SNC 144A
3.38%, 11/05/20
   50,000 
Norway: 0.7%     
 200,000   Kommunalbanken AS 144A
2.13%, 02/11/25
   193,212 
Poland: 0.7%     
     Republic of Poland Government International Bond Reg S     
EUR 55,000   0.50%, 12/20/21   64,231 
 100,000   1.13%, 08/07/26   118,116 
         182,347 
South Korea: 0.2%    
USD 50,000   Export-Import Bank of Korea
2.13%, 02/11/21
   49,087 
Supranational: 16.8%    
SEK 1,000,000   African Development Bank Reg S
0.38%, 06/01/22
   110,829 
     Asian Development Bank     
EUR40,000   0.35%, 07/16/25   46,339 
USD 200,000   1.00%, 08/16/19   198,342 
 150,000   1.88%, 08/10/22   146,518 
 100,000   2.38%, 08/10/27   97,026 
 100,000   European Bank for Reconstruction & Development
0.88%, 07/22/19
   99,239 
     European Investment Bank     
EUR 175,000   0.50%, 11/13/37   180,462 
 250,000   1.38%, 11/15/19   291,073 
 50,000   1.50%, 11/15/47   59,837 
USD 200,000   2.13%, 04/13/26   192,592 
 100,000   2.38%, 05/24/27   97,412 
 75,000   2.50%, 10/15/24 †   74,607 
AUD 100,000   3.30%, 02/03/28   75,898 
     European Investment Bank Reg S     
SEK 700,000   0.50%, 07/19/22 Reg S   77,962 
EUR 200,000   0.50%, 11/15/23 Reg S   236,367 
CAD 100,000   1.25%, 11/05/20 144A   75,268 
EUR 450,000   1.25%, 11/13/26 Reg S   556,921 
GBP 265,000   2.25%, 03/07/20 Reg S   353,784 
CAD 50,000   2.38%, 01/18/23 144A   38,422 
AUD 180,000   2.70%, 01/12/23 Reg S   133,185 
SEK 400,000   2.75%, 11/13/23 Reg S   49,066 
    International Bank for Reconstruction & Development      
USD230,000   2.13%, 03/03/25    223,954 
 150,000   3.13%, 11/20/25   155,255 
     International Finance Corp.     
 280,000   2.00%, 10/24/22   274,577 
 120,000   2.13%, 04/07/26   116,060 
     Nordic Investment Bank     
SEK 1,000,000   0.16%, 04/23/20   110,945 
USD 75,000   2.25%, 09/30/21   74,373 
     Nordic Investment Bank Reg S     
EUR 125,000   0.13%, 06/10/24   144,718 
SEK 400,000   0.63%, 01/20/21   44,725 
         4,335,756 
Sweden: 1.5%    
USD 300,000   Kommuninvest I Sverige AB 144A
1.88%, 06/01/21
   294,746 
 100,000   Svensk Exportkredit AB
1.88%, 06/23/20
   98,975 
         393,721 
Switzerland: 0.3%    
CHF 75,000   Canton of Geneva Reg S
0.25%, 11/29/27
   76,599 
United Kingdom: 0.5%    
GBP 100,000   Transport for London Reg S
2.13%, 04/24/25
   134,839 
Total Government Obligations
(Cost: $9,532,296)
 9,615,215 
         
Number
of Shares
        
MONEY MARKET FUND: 0.1%
(Cost: $26,447)
     
 26,447   Dreyfus Government Cash Management Fund - Institutional Shares   26,447 
Total Investments Before Collateral for Securities Loaned: 99.4%
(Cost: $25,798,283)
   25,683,104 
          
Principal
Amount
         
SHORT-TERM INVESTMENT HELD AS COLLATERAL FOR SECURITIES ON LOAN: 0.9%
(Cost: $231,126)
     
Repurchase Agreements: 0.9%     
$231,126   Repurchase agreement dated 1/31/19 with Deutsche Bank Securities, Inc., 2.56%, due 2/1/19, proceeds $231,142; (collateralized by various U.S. government and agency obligations, 2.63%, due 12/15/21, valued at $235,749 including accrued interest)   231,126 
Total Investments: 100.3%
(Cost: $26,029,409)
   25,914,230 
Liabilities in excess of other assets: (0.3)%   (69,902)
NET ASSETS: 100.0%  $25,844,328 

 

Definitions:
AUD Australian Dollar
CAD Canadian Dollar
CHF Swiss Franc
EUR Euro
GBP British Pound
SEK Swedish Krona
USD United States Dollar
   
Footnotes:
(c) Callable Security - the redemption date shown is when the security may be redeemed by the issuer
(s) The rate shown reflects the rate in effect at the end of the reporting period. Coupon adjusts periodically based upon a predetermined schedule
Security fully or partially on loan. Total market value of securities on loan is $224,666.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
144A Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $3,502,561, or 13.6% of net assets.

 

Summary of Investments
by Sector Excluding
Collateral for Securities
Loaned
  % of
Investments
  Value 
Basic Materials     1.2%     $295,547 
Consumer, Cyclical   0.6    163,847 
Consumer, Non-cyclical   3.1    786,208 
Energy   1.2    309,339 
Financial   31.7    8,153,766 
Government   37.4    9,615,215 
Industrial   3.0    768,105 
Technology   1.2    298,552 
Utilities   20.5    5,266,078 
Money Market Fund   0.1    26,447 
    100.0%  $25,683,104 

 

The summary of inputs used to value the Fund’s investments as of January 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Corporate Bonds*  $   $16,041,442   $   $16,041,442 
Government Obligations*       9,615,215        9,615,215 
Money Market Funds   26,447            26,447 
Repurchase Agreements       231,126        231,126 
Total  $26,447   $25,887,783   $   $25,914,230 

 

* See Schedule of Investments for geographic sector breakouts.

 

See Notes to schedules of Investments

 

VANECK VECTORS INTERNATIONAL HIGH YIELD BOND ETF

SCHEDULE OF INVESTMENTS

January 31, 2019 (unaudited)

 

Principal
Amount
      Value 
CORPORATE BONDS: 97.0%     
Argentina: 1.5%     
USD 130,000    Arcor SAIC 144A
6.00%, 07/06/20 (c)
  $125,772 
  150,000    Cablevision SA 144A
6.50%, 06/15/19 (c)
   147,188 
  100,000    Genneia SA 144A
8.75%, 01/20/20 (c)
   93,220 
       Pampa Energia SA 144A     
  50,000    7.38%, 07/21/20 (c)   47,626 
  200,000    7.50%, 01/24/22 (c)   178,500 
  150,000    Pan American Energy LLC Reg S
7.88%, 05/07/21
   154,305 
  200,000    Rio Energy SA / UGEN SA / UENSA SA 144A
6.88%, 02/01/22 (c)
   160,500 
  150,000    Transportadora de Gas del Sur SA 144A
6.75%, 05/02/22 (c)
   140,595 
       YPF SA 144A     
  170,000    6.95%, 07/21/27   152,864 
  25,000    7.00%, 06/15/47 (c)   20,550 
  100,000    8.50%, 03/23/21   102,224 
  530,000    8.50%, 07/28/25   520,857 
  100,000    8.75%, 04/04/24   100,750 
           1,944,951 
Australia: 0.3%     
  300,000    FMG Resources  144A
5.13%, 02/15/24 (c)
   294,750 
  150,000    Virgin Australia Holdings Ltd. 144A
7.88%, 10/15/21
   148,125 
           442,875 
Austria: 0.6%     
  400,000    JBS Investments GmbH 144A
7.25%, 04/03/19 (c) †
   415,128 
  100,000    Raiffeisenlandesbank Niederoesterreich-Wien AG Reg S
5.88%, 11/27/23
   127,012 
  100,000    Sappi Papier Holding GmbH Reg S
3.38%, 03/04/19 (c)
   116,495 
  100,000    Wienerberger AG
5.00% (EUR Swap Annual 5 Year+5.95%), 02/09/21 (c)
   120,886 
           779,521 
Azerbaijan: 0.1%     
  170,000    International Bank of Azerbaijan OJSC Reg S
3.50%, 09/01/24
   151,300 
Bahamas: 0.2%     
  200,000    Starfruit Finco BV / Starfruit US Holdco LLC Reg S
6.50%, 10/01/21 (c)
   222,135 
Bermuda: 0.8%     
  300,000    China Oil & Gas Group Ltd. Reg S
4.63%, 04/20/20 (c) †
   286,695 
  51,000    Digicel Group One Ltd. 144A
8.25%, 12/30/20 (c) †
   42,330 
       Digicel Group Two Ltd. 144A     
  49,000    8.25%, 09/30/20 (c) †   26,583 
  400,000    9.13% 03/04/19 (c) †   176,000 
  300,000    Digicel Ltd. 144A
6.00%, 03/04/19 (c) †
   278,400 
  200,000    Inkia Energy Ltd. 144A
5.88%, 11/09/22 (c)
   191,928 
           1,001,936 
Brazil: 4.2%     
  100,000    B3 SA - Brasil Bolsa Balcao 144A
5.50%, 07/16/20
   102,651 
       Banco Bradesco SA 144A     
  100,000    5.75%, 03/01/22   104,400 
  350,000    5.90%, 01/16/21 †   363,300 
  280,000    Banco BTG Pactual SA Reg S
5.75%, 09/28/22
   273,910 
  800,000    Banco do Brasil SA
3.88%, 10/10/22
   790,200 
  400,000    Banco do Brasil SA 144A
5.88%, 01/19/23
   416,300 
  200,000    Banco Safra SA/Cayman Islands 144A
4.13%, 02/08/23
   199,050 
  200,000    Banco Votorantim SA 144A
7.38%, 01/21/20
   206,850 
  400,000    BRF SA 144A
4.75%, 05/22/24
   375,000 
  150,000    Caixa Economica Federal 144A
3.50%, 11/07/22
   145,680 
  200,000    Cemig Geracao e Transmissao SA 144A
9.25%, 12/05/23 (c)
   218,997 
  400,000    Centrais Eletricas Brasileiras SA 144A
5.75%, 10/27/21
   411,500 
  100,000    Cia Brasileira de Aluminio 144A
4.75%, 06/17/24
   100,500 
  200,000    Cielo SA 144A
3.75%, 11/16/22
   193,750 
  200,000    Globo Comunicacao e Participacoes SA 144A
4.84%, 03/08/25 (c) †
   197,000 
       Itau Unibanco Holding SA 144A     
  500,000    5.13%, 05/13/23   513,250 
  300,000    5.75%, 01/22/21   310,950 
  200,000    6.20%, 04/15/20   206,000 
  100,000    6.20%, 12/21/21   105,301 
  200,000    Natura Cosmeticos SA 144A
5.38%, 02/01/21 (c)
   201,750 
           5,436,339 
British Virgin Islands: 2.8%     
  100,000    Arcos Dorados Holdings, Inc. 144A
6.63%, 09/27/23
   106,125 
  200,000    Baoxin Auto Finance I Ltd. Reg S
5.63% (US Treasury Yield Curve Rate T 3 Year+8.91%), 10/30/20 (c)
   179,228 
  100,000    Central American Bottling Corp. 144A
5.75%, 01/31/22 (c)
   99,875 
       Easy Tactic Ltd. Reg S     
  200,000    5.75%, 01/13/20 (c) †   189,313 
  200,000    5.88%, 11/17/20 (c) †   183,292 
  300,000    Fortune Star BVI Ltd. Reg S
5.25%, 03/23/20 (c)
   284,066 
  300,000    Franshion Brilliant Ltd. Reg S
5.75% (USD Swap Semi 30/360 5 Year+3.86%), 01/17/22 (c)
   270,721 
  100,000    Gold Fields Orogen Holding BVI Ltd. 144A
4.88%, 10/07/20
   100,600 
       Greenland Global Investment Ltd. Reg S      
  200,000    4.85%, 08/17/20 †   195,603 
  200,000    5.88%, 07/03/24   172,165 
  200,000    New Metro Global Ltd. Reg S
6.50%, 04/23/20 (c)
   197,862 
  250,000    RKI Overseas Finance 2017 A Ltd. Reg S
7.00%, 06/23/22 (c)
   195,594 
  300,000    Scenery Journey Ltd. Reg S
11.00%, 11/06/20
   309,952 
  250,000    Sino-Ocean Land Treasure III Ltd. Reg S
4.90% (US Treasury Yield Curve Rate T 5 Year+3.26%), 09/21/22 (c)
   197,238 
  196,600    Star Energy Geothermal Wayang Windu Ltd. 144A
6.75%, 04/24/26 (c)
   191,322 
  200,000    Studio City Co. Ltd. 144A
7.25%, 03/04/19 (c)
   206,965 
  157,000    Studio City Finance Ltd.  144A
8.50%, 03/04/19 (c)
   157,392 
  200,000    Wanda Properties International Co. Ltd. Reg S
7.25%, 01/29/24
   195,731 
  200,000    Wealth Driven Ltd. Reg S
5.50%, 08/17/19 (c) (p)
   191,744 
           3,624,788 
Bulgaria: 0.1%     
EUR 125,000    Bulgarian Energy Holding EAD Reg S
3.50%, 06/28/25
   143,114 
Canada: 6.9%     
USD 125,000    Air Canada 144A
7.75%, 04/15/21
   133,906 
  100,000    Athabasca Oil Corp. 144A
9.88%, 03/04/19 (c) †
   96,250 
  100,000    Baffinland Iron Mines Corp. / Baffinland Iron Mines LP 144A
8.75%, 07/15/21 (c)
   99,750 
  200,000    Baytex Energy Corp. 144A
5.63%, 06/01/19 (c)
   181,000 
       Bombardier, Inc. 144A     
  50,000    6.00%, 03/04/19 (c) †144A   48,438 
EUR 300,000    6.13%, 05/15/21 Reg S   354,562 
USD 250,000    6.13%, 01/15/23 144A   241,410 
CAD 150,000    7.35%, 12/22/26 144A   108,615 
USD 300,000    7.50%, 03/15/20 (c)144A   290,625 
  100,000    7.75%, 03/15/20 144A   103,375 
  190,000    8.75%, 12/01/21 144A   202,692 
  300,000    Brookfield Residential 144A
6.50%, 03/04/19 (c)
   301,875 
  150,000    Cascades, Inc. 144A
5.50%, 03/04/19 (c)
   150,000 
  150,000    Eldorado Gold Corp. 144A
6.13%, 03/04/19 (c)
   144,000 
  200,000    Emera, Inc.
6.75% (ICE LIBOR USD 3 Month+5.44%), 06/15/26 (c)
   204,295 
  130,000    Entertainment One Ltd. Reg S
6.88%, 02/11/19 (c)
   177,079 
       First Quantum Minerals Ltd.  144A     
  100,000    6.88%, 03/01/21 (c) †   91,000 
  300,000    7.00%, 03/04/19 (c)   299,812 
  200,000    7.25%, 10/01/19 (c)   192,252 
  300,000    7.50%, 04/01/20 (c)   282,375 
  100,000    Garda World Security Corp. 144A
8.75%, 05/15/20 (c)
   93,250 
  100,000    goeasy Ltd. 144A
7.88%, 11/01/19 (c)
   105,000 
  200,000    Hudbay Minerals, Inc. 144A
7.63%, 01/15/20 (c)
   206,500 
  125,000    Hulk Finance Corp. 144A
7.00%, 06/01/21 (c)
   115,963 
  100,000    IAMGOLD Corp. 144A
7.00%, 04/15/20 (c)
   98,125 
  256,000    Lightstream Resources 144A
8.63%, 03/04/19 (c) (d) §
   5,764 
  200,000    Mattamy Group Corp. 144A
6.88%, 12/15/19 (c)
   195,480 
  400,000    MEG Energy Corp. 144A
6.38%, 03/04/19 (c)
   355,500 
  200,000    New Gold, Inc. 144A
6.25%, 02/08/19 (c)
   185,500 
       New Red Finance, Inc. 144A     
  300,000    4.25%, 05/15/20 (c)   291,000 
  200,000    4.63%, 03/04/19 (c)   200,896 
  350,000    5.00%, 10/15/20 (c)   338,625 
  100,000    Northwest Acquisitions ULC / Dominion Finco, Inc. 144A
7.13%, 11/01/19 (c)
   99,870 
  450,000    NOVA Chemicals Corp. 144A
5.25%, 03/04/19 (c)
   439,218 
  300,000    Open Text Corp.  144A
5.63%, 03/04/19 (c)
   308,109 
  150,000    Parkland Fuel Corp.
5.63%, 05/09/20 (c)
   110,287 
  100,000    Parkland Fuel Corp. 144A
6.00%, 04/01/21 (c)
   96,000 
  150,000    Precision Drilling Corp. 144A
7.13%, 11/15/20 (c)
   138,000 
  100,000    Quebecor Media, Inc.
5.75%, 01/15/23
   103,500 
  250,000    Quebecor Media, Inc. 144A
6.63%, 01/15/23
   201,239 
  100,000    Ritchie Bros Auctioneers, Inc. 144A
5.38%, 01/15/20 (c)
   101,000 
  200,000    Seven Generations Energy Ltd. 144A
6.75%, 03/04/19 (c)
   205,060 
  200,000    Sobeys, Inc.
4.70%, 05/08/23 (c)
   156,266 
  150,000    Superior Plus LP / Superior General Partner, Inc. 144A
7.00%, 07/15/21 (c)
   148,688 
  300,000    Teck Resources Ltd.
6.25%, 01/15/41 (c)
   313,500 
  200,000    Teck Resources Ltd. 144A
8.50%, 06/01/19 (c)
   215,998 
  100,000    Telesat Canada / Telesat LLC 144A
8.88%, 11/15/19 (c)
   105,125 
  100,000    Tervita Escrow Corp. 144A
7.63%, 03/04/19 (c)
   98,750 
  200,000    Videotron Ltd.
5.63%, 03/15/25 (c)
   156,257 
  225,000    Videotron Ltd. Reg S
5.75%, 09/15/20 (c)
   177,226 
           9,069,007 
Cayman Islands: 8.8%     
       Agile Group Holdings Ltd. Reg S     
  200,000    6.88% (US Treasury Yield Curve Rate T 5 Year+9.22%), 03/07/23 (c) †   179,729 
  200,000    9.00%, 03/04/19 (c)   207,415 
  200,000    Alpha Star Holding III Ltd. Reg S
6.25%, 04/20/22
   177,190 
       Avolon Holdings Funding Ltd. 144A     
  200,000    5.13%, 09/01/23 (c)   203,540 
  100,000    5.50%, 12/15/22 (c)   102,155 
  200,000    Batelco International Finance No. 1 Ltd. Reg S
4.25%, 05/01/20
   199,058 
  200,000    CAR, Inc. 144A
6.13%, 03/04/19 (c)
   198,400 
  300,000    Central China Real Estate Ltd. Reg S
8.75%, 03/04/19 (c)
   306,423 
  200,000    CFLD Cayman Investment Ltd. Reg S
6.50%, 12/21/20
   188,803 
  200,000    China Aoyuan Property Group Ltd. Reg S
5.38%, 09/13/20 (c)
   185,230 
       China Evergrande Group Reg S     
  200,000    8.25%, 03/23/20 (c) †   190,278 
  800,000    8.75%, 06/28/21 (c)   713,113 
  300,000    9.50%, 03/29/21 (c)   281,745 
  200,000    China SCE Property Holdings Ltd. Reg S
5.88%, 03/10/20 (c)
   187,497 
       CIFI Holdings Group Co. Ltd. Reg S     
  200,000    5.38% (US Treasury Yield Curve Rate T 5 Year+8.57%), 08/24/22 (c)   176,178 
  200,000    7.75%, 03/04/19 (c)   204,702 
  200,000    Comcel Trust 144A
6.88%, 03/04/19 (c)
   207,294 
       Country Garden Holdings Co. Ltd. Reg S     
  400,000    4.75%, 09/28/20 (c)   369,865 
  200,000    7.50%, 03/04/19 (c) †   203,617 
  200,000    Dar Al-Arkan Sukuk Co. Ltd. Reg S
6.88%, 03/21/23
   187,066 
  200,000    Ezdan Sukuk Co. Ltd. Reg S
4.88%, 04/05/22
   165,742 
  200,000    Fantasia Holdings Group Co. Ltd. Reg S
7.38%, 10/04/19 (c)
   163,516 
  200,000    Future Land Development Holdings Ltd. Reg S
5.00%, 02/16/20
   198,450 
  100,000    Global A&T Electronics Ltd.
8.50%, 03/04/19 (c)
   88,415 
  275,000    Greentown China Holdings Ltd. Reg S
5.88%, 03/04/19 (c)
   276,094 
  200,000    Grupo Aval Ltd. 144A
4.75%, 09/26/22
   197,600 
  100,000    Industrial Senior Trust  Reg S
5.50%, 11/01/22
   100,750 
  350,000    KWG Property Holding Ltd. Reg S
5.88%, 11/10/21 (c) †
   308,929 
  225,000    Lamar Funding Ltd. Reg S
3.96%, 05/07/25
   190,209 
  100,000    Latam Finance Ltd. 144A
6.88%, 04/11/21 (c)
   101,275 
  400,000    Logan Property Holdings Co. Ltd. Reg S
5.25%, 05/23/20 (c)
   356,860 
  200,000    MAF Global Securities Ltd. Reg S
5.50% (USD Swap Semi 30/360 5 Year+3.48%), 09/07/22 (c)
   192,524 
  200,000    Melco Resorts Finance Ltd. 144A
4.88%, 06/06/20 (c)
   188,483 
  500,000    Noble Holding International Ltd.
7.95%, 01/01/25 (c) †
   407,500 
  142,173    Odebrecht Offshore Drilling Finance Ltd. 144A
6.72%, 12/01/21 (c)
   134,709 
       Park Aerospace Holdings Ltd. 144A     
  300,000    5.25%, 08/15/22   305,715 
  200,000    5.50%, 02/15/24   203,750 
  200,000    Powerlong Real Estate Holdings Ltd. Reg
S 5.95%, 07/19/20
   196,703 
  200,000    Ronshine China Holdings Ltd. Reg S
8.25%, 02/01/20 (p) †
   196,324 
  200,000    Sable International Finance Ltd. 144A
6.88%, 03/04/19 (c)
   208,000 
  100,000    Shelf Drilling Holdings Ltd. 144A
8.25%, 02/15/21 (c)
   91,125 
       Shimao Property Holdings Ltd. Reg S     
  200,000    4.75%, 07/03/20 (c)   195,332 
  200,000    8.38%, 03/04/19 (c)   209,430 
       Sunac China Holdings Ltd. Reg S     
  400,000    7.95%, 08/08/20 (c)   396,532 
  200,000    8.63%, 07/27/20   204,409 
       Times China Holdings Ltd. Reg S     
  200,000    6.25%, 01/31/20 (c)   197,982 
  200,000    7.85%, 06/04/20 (c)   201,713 
       UPCB Finance IV Ltd. Reg S     
EUR 90,000    4.00%, 01/15/21 (c)Reg S   106,732 
USD 235,000    5.38%, 01/15/20 (c)144A   226,775 
  100,000    UPCB Finance VII Ltd. Reg S
3.63%, 06/15/22 (c)
   110,929 
  200,000    WTT Investment Ltd./Hong Kong 144A
5.50%, 11/21/20 (c)
   197,515 
  200,000    Wynn Macau Ltd. 144A
5.50%, 10/01/22 (c)
   183,000 
  300,000    Yuzhou Properties Co. Ltd. Reg S
6.00%, 10/25/20 (c)
   273,347 
           11,445,667 
Chile: 0.3%     
  200,000    Empresa Electrica Guacolda SA 144A
4.56%, 01/30/25 (c)
   181,584 
  200,000    Latam Airlines Group SA 144A
7.25%, 06/09/20
   206,750 
           388,334 
China / Hong Kong: 1.5%     
  200,000    Bank of East Asia Ltd. Reg S
5.50% (US Treasury Yield Curve Rate T 5 Year+3.83%), 12/02/20 (c)
   199,670 
  400,000    China Cinda Asset Management Co. Ltd. Reg S
4.45% (US Treasury Yield Curve Rate T 5 Year+3.29%), 09/30/21 (c)
   379,000 
  200,000    China CITIC Bank International Ltd. Reg S
4.25% (US Treasury Yield Curve Rate T 5 Year+3.11%), 10/11/21 (c)
   188,070 
  200,000    China South City Holdings Ltd. Reg S
6.75%, 09/13/19 (c)
   157,214 
  200,000    Full Dragon Hong Kong International Development Ltd. Reg S
5.60%, 02/14/21
   196,308 
  200,000    ICBC Asia Ltd. Reg S
4.25% (US Treasury Yield Curve Rate T 5 Year+3.13%), 07/21/21 (c)
   195,575 
  200,000    Nanyang Commercial Bank Ltd. Reg S
5.00% (US Treasury Yield Curve Rate T 5 Year+3.21%), 06/02/22 (c)
   192,821 
  200,000    Yancoal International Resources Development Co. Ltd. Reg S
5.75% (US Treasury Yield Curve Rate T 3 Year+8.30%), 04/13/20 (c)
   200,515 
  200,000    Yanlord Land HK Co. Ltd. Reg S
5.88%, 01/23/20 (c)
   199,529 
           1,908,702 
Colombia: 0.8%     
  100,000    Banco Davivienda SA Reg S
5.88%, 07/09/22
   105,425 
       Banco de Bogota SA 144A     
  200,000    5.38%, 02/19/23   205,250 
  100,000    6.25%, 05/12/26   104,850 
       Banco GNB Sudameris SA Reg S     
  80,000    7.50%, 07/30/22 Reg S   85,100 
  50,000    7.50%, 07/30/22 144A   53,188 
       Bancolombia SA     
  200,000    4.88% (US Treasury Yield Curve Rate T 5 Year+2.93%), 10/18/22 (c)   198,410 
  150,000    5.13%, 09/11/22 †   154,875 
  165,000    Colombia Telecomunicaciones SA, ESP Reg S
5.38%, 03/04/19 (c)
   166,899 
           1,073,997 
Croatia: 0.2%     
  200,000    Hrvatska Elektroprivreda 144A
5.88%, 10/23/22
   210,500 
Curacao: 0.1%     
  100,000    Teva Pharmaceutical Finance Co. BV
2.95%, 12/18/22
   93,348 
  50,000    Teva Pharmaceutical Finance IV BV
3.65%, 11/10/21
   48,326 
           141,674 
Czech Republic: 0.2%     
EUR 100,000    Energo-Pro AS Reg S
4.00%, 12/07/20 (c)
   106,587 
  150,000    Residomo SRO Reg S
3.38%, 10/15/20 (c)
   172,426 
           279,013 
Denmark: 0.4%     
  275,000    DKT Finance ApS Reg S
7.00%, 06/17/20 (c)
   341,786 
  100,000    Norican A/S Reg S
4.50%, 11/15/19 (c)
   100,732 
  100,000    TDC A/S
3.75%, 03/02/22
   126,942 
           569,460 
Finland: 0.8%     
       Nokia OYJ     
USD 100,000    3.38%, 06/12/22   98,625 
  100,000    6.63%, 05/15/39   104,500 
       Nokia OYJ Reg S     
EUR 100,000    1.00%, 02/15/21 (c)   115,994 
  200,000    2.00%, 12/15/23 (c)   235,500 
  150,000    Stora Enso OYJ 144A
7.25%, 04/15/36
   173,250 
       Teollisuuden Voima OYJ Reg S     
  175,000    2.13%, 11/04/24 (c)   201,410 
  125,000    2.50%, 03/17/21   148,494 
           1,077,773 
France: 5.4%     
  200,000    Accor SA Reg S
4.13% (EUR Swap Annual 5 Year+3.65%), 06/30/20 (c)
   237,075 
       Altice France SA Reg S     
  225,000    5.63%, 05/15/19 (c)Reg S   266,764 
USD 200,000    6.25%, 05/15/19 (c)144A   196,810 
  900,000    7.38%, 05/01/21 (c)144A   870,750 
  100,000    Arkema SA Reg S
4.75% (EUR Swap Annual 5 Year+4.35%), 10/29/20 (c)
   121,550 
       Casino Guichard Perrachon SA Reg S     
  100,000    1.87%, 03/13/22 (c)   107,270 
  200,000    4.50%, 12/07/23 (c)   222,176 
  200,000    4.56%, 01/25/23   225,408 
  200,000    5.98%, 05/26/21 †   243,701 
  350,000    CMA CGM SA Reg S
7.75%, 02/11/19 (c)
   404,991 
  325,000    Elis SA Reg S
3.00%, 03/04/19 (c)
   378,086 
  300,000    Europcar Mobility Group Reg S
5.75%, 02/11/19 (c)
   354,132 
  200,000    Faurecia SA Reg S
3.63%, 06/15/19 (c) †
   235,835 
  100,000    Fnac Darty SA Reg S
3.25%, 09/30/19 (c)
   117,331 
  100,000    Getlink SE Reg S
3.63%, 10/01/20 (c)
   117,141 
  150,000    La Financiere Atalian SASU Reg S
4.00%, 05/15/20 (c)
   134,385 
  100,000    La Poste SA Reg S
3.13% (EUR Swap Annual 5 Year+2.44%), 01/29/26 (c)
   107,218 
       Loxam SAS Reg S      
  125,000    3.50%, 04/15/19 (c)   146,725 
  100,000    4.25%, 04/15/20 (c)   118,392 
  200,000    New AREVA Holding SA
4.88%, 09/23/24
   239,232 
  100,000    New AREVA Holding SA Reg S
3.13%, 12/20/22 (c)
   115,439 
  100,000    Nexans SA Reg S
3.25%, 02/26/21 (c)
   120,032 
  200,000    Orano SA Reg S
3.50%, 03/22/21
   239,886 
  100,000    Paprec Holding SA Reg S
4.00%, 03/31/21 (c)
   98,250 
  250,000    Rexel SA Reg S
3.50%, 06/15/19 (c)
   294,751 
  180,000    SFR Group SA 144A
5.63%, 05/15/19 (c)
   213,412 
  250,000    Solvay Finance SA Reg S
5.43% (EUR Swap Annual 5 Year+3.70%), 11/12/23 (c)
   314,360 
  300,000    SPCM SA 144A
4.88%, 09/15/20 (c)
   282,750 
  100,000    SPIE SA Reg S
3.13%, 09/22/23 (c)
   115,844 
  200,000    Tereos Finance Groupe I SA
4.25%, 03/04/19 (c)
   225,763 
       Vallourec SA Reg S     
  100,000    2.25%, 09/30/24   62,717 
  125,000    6.63%, 10/15/20 (c)   92,262 
           7,020,438 
Georgia: 0.2%     
  200,000    Georgian Railway JSC 144A
7.75%, 07/11/22
   211,126 
Germany: 4.4%     
       ADLER Real Estate AG Reg S     
EUR 200,000    1.50%, 11/06/21 (c)   228,338 
  100,000    2.13%, 01/06/24 (c)   112,065 
       Deutsche Bank AG     
USD 100,000    4.30% (USD Swap Semi 30/360 5 Year+2.25%), 05/24/23 (c)   88,887 
  500,000    4.50%, 04/01/25 †   461,364 
  300,000    Deutsche Bank AG Reg S
2.75%, 02/17/25
   339,625 
  100,000    Deutsche Lufthansa AG Reg S
5.13% (EUR Swap Annual 5 Year+4.78%), 02/12/21 (c)
   121,272 
  100,000    Deutsche Pfandbriefbank AG Reg S
2.88% (EUR Swap Annual 5 Year+2.75%), 06/28/22 (c)
   109,448 
  150,000    Douglas GmbH Reg S
6.25%, 02/11/19 (c)
   138,469 
  150,000    Hapag-Lloyd AG Reg S
6.75%, 02/11/19 (c)
   178,062 
       IHO Verwaltungs GmbH Reg S     
  100,000    3.50% 02/11/19 (c)Reg S   115,133 
  200,000    5.25% 09/15/19 (c)144A   191,500 
  300,000    5.50% 09/15/21 (c)144A   273,000 
  400,000    K+S AG  Reg S
3.00%, 06/20/22
   474,917 
  100,000    LANXESS AG Reg S
4.50% (EUR Swap Annual 5 Year+4.51%), 06/06/23 (c)
   121,209 
  250,000    Metro Wholesale & Food  Reg S
1.50%, 03/19/25 †
   268,972 
  200,000    Nidda Healthcare Holding GmbH Reg S
3.50%, 09/30/20 (c)
   224,767 
  200,000    Norddeutsche Landesbank Girozentrale Reg S
6.25%, 04/10/24 †
   169,794 
  100,000    Platin 1426 GmbH Reg S
5.38%, 12/15/19 (c)
   107,299 
  130,000    ProGroup AG Reg S
3.00%, 03/31/21 (c)
   148,777 
  100,000    RWE AG
6.63% (+4.52%), 03/30/26 (c)
   101,731 
  100,000    RWE AG Reg S
2.75% (EUR Swap Annual 5 Year+2.64%), 10/21/20 (c)
   116,113 
  100,000    Tele Columbus AG Reg S
3.88%, 05/02/21 (c)
   105,315 
       ThyssenKrupp AG Reg S     
  300,000    1.38%, 12/03/21 (c)   342,270 
  200,000    2.75%, 12/08/20 (c)   238,015 
  100,000    TUI AG Reg S
2.13%, 07/26/21 (c)
   117,772 
  200,000    Unitymedia GmbH 144A
6.13%, 01/15/20 (c)
   207,500 
       Unitymedia Hessen GmbH & Co. KG / Unitymedia NRW GmbH Reg S     
EUR 400,000    4.00%, 01/15/20 (c)Reg S   478,349 
USD 100,000    5.00%, 01/15/20 (c)144A   102,125 
  100,000    WEPA Hygieneprodukte GmbH Reg S
3.75%, 05/15/19 (c)
   114,655 
           5,796,743 
India: 0.5%     
  200,000    Delhi International Airport Ltd. Reg S
6.13%, 02/03/22
   206,317 
  200,000    IDBI Bank Ltd. Reg S
4.25%, 11/30/20
   197,727 
  200,000    JSW Steel Ltd. Reg S
5.25%, 04/13/22 †
   199,083 
           603,127 
Indonesia: 0.1%     
  200,000    Saka Energi Indonesia PT 144A
4.45%, 05/05/24
   187,808 
Ireland: 3.3%     
  200,000    Alfa Bank OJSC 144A
7.75%, 04/28/21
   212,957 
  100,000    Allied Irish Banks Plc Reg S
4.13% (EUR Swap Annual 5 Year+3.95%), 11/26/20 (c)
   118,207 
       Ardagh Packaging Finance Plc Reg S     
  350,000    2.75%, 03/15/20 (c)Reg S   403,947 
  250,000    4.13%, 05/15/19 (c)Reg S   295,620 
  300,000    4.63%, 05/15/19 (c)144A   300,750 
  100,000    7.25%, 05/15/19 (c)144A   104,000 
  100,000    Ardagh Packaging Finance Plc / Ardagh Holdings USA, Inc. 144A
6.00%, 02/15/20 (c)
   97,500 
  100,000    Bank of Ireland Reg S
10.00%, 12/19/22
   145,987 
  100,000    Bank of Ireland Group Plc Reg S
3.13% (UK Govt Bonds 5 Year Note Generic Bid Yield+2.70%), 09/19/22 (c)
   124,716 
  200,000    Credit Bank of Moscow Via CBOM Finance Plc 144A
5.55%, 02/14/23
   193,662 
  150,000    eircom Finance DAC Reg S
4.50%, 02/11/19 (c)
   176,127 
  200,000    Eurochem Finance DAC 144A
3.95%, 07/05/21
   196,063 
  200,000    GTLK Europe DAC Reg S
5.13%, 05/31/24
   191,129 
  150,000    James Hardie International Finance DAC 144A
5.00%, 01/15/23 (c)
   135,750 
  200,000    Metalloinvest Finance DAC 144A
5.63%, 04/17/20
   202,310 
  250,000    Mobile Telesystems OJSC 144A
5.00%, 05/30/23
   249,582 
  310,000    Rosneft Oil Co. 144A
4.20%, 03/06/22
   304,000 
  200,000    SCF Capital Ltd. 144A
5.38%, 06/16/23
   198,178 
  400,000    Smurfit Kappa Acquisitions ULC Reg S
2.38%, 11/01/23 (c)
   476,997 
  150,000    Virgin Media Receivables Financing Notes I DAC Reg S
5.50%, 09/15/19 (c)
   195,441 
           4,322,923 
Italy: 6.5%     
EUR 100,000    Astaldi SpA Reg S
7.13%, 03/04/19 (c)
   31,148 
  100,000    Autostrada Brescia Verona Vicenza Padova SpA Reg S
2.38%, 03/20/20
   116,558 
  100,000    Banca IFIS SpA Reg S
4.50% (EUR Swap Annual 5 Year+4.25%), 10/17/22 (c)
   96,892 
       Banco BPM SpA Reg S     
  200,000    1.75%, 04/24/23   220,838 
  100,000    2.75%, 07/27/20   117,649 
  100,000    4.38% (EUR Swap Annual 5 Year+4.18%), 09/21/22 (c)   108,004 
  100,000    Banco Popolare SC Reg S
6.00%, 11/05/20
   120,013 
  100,000    BPER Banca Reg S
5.13% (EUR Swap Annual 5 Year+4.91%), 05/31/22 (c)
   110,787 
  150,000    Cooperativa Muratori & Cementisti-CMC di Ravenna SC Reg S
6.00%, 11/15/19 (c)
   13,404 
  100,000    EVOCA SpA Reg S
7.00%, 10/15/19 (c)
   121,709 
  100,000    Iccrea Banca SpA Reg S
1.50%, 10/11/22
   112,939 
       Intesa Sanpaolo SpA Reg S     
  100,000    2.86%, 04/23/25 Reg S   114,358 
  400,000    3.93%, 09/15/26 Reg S   467,985 
USD 100,000    5.02%, 06/26/24 144A   91,878 
  150,000    5.71%, 01/15/26 144A   139,966 
EUR 300,000    6.63%, 09/13/23 Reg S   395,671 
  100,000    Intesa Sanpaolo Vita SpA Reg S
4.75% (Euribor 6 Month ACT/360+4.82%), 12/17/24 (c)
   112,339 
       Leonardo Finmeccanica SpA     
  200,000    4.88%, 03/24/25   258,619 
  150,000    5.25%, 01/21/22   193,423 
  200,000    Mediobanca SpA
5.00%, 11/15/20
   242,914 
  100,000    Nexi Capital SpA Reg S
4.13%, 11/30/19 (c)
   116,828 
  200,000    Salini Impregilo SpA  Reg S
3.75%, 06/24/21 †
   201,029 
  100,000    Sisal Group SpA Reg S
7.00%, 07/31/19 (c)
   115,239 
  100,000    Societa Cattolica di Assicurazioni SC Reg S
4.25% (Euribor 3 Month ACT/360+4.46%), 12/14/27 (c)
   105,945 
       Telecom Italia SpA     
  100,000    5.25%, 03/17/55   106,897 
GBP 300,000    5.88%, 05/19/23   409,879 
       Telecom Italia SpA Reg S     
EUR 230,000    2.38%, 07/12/27 (c)Reg S   228,031 
  400,000    3.63%, 05/25/26 Reg S   442,628 
  400,000    5.25%, 02/10/22 Reg S   494,935 
USD 450,000    5.30%, 05/30/24 144A   429,187 
  200,000    Telecom Italia SpA/Milano Reg S
2.88%, 10/28/25 (c)
   211,378 
       UniCredit SpA Reg S     
  300,000    5.75% (EUR Swap Annual 5 Year+4.10%), 10/28/20 (c)   356,203 
  400,000    6.95%, 10/31/22   522,431 
       Unione di Banche Italiane SpA Reg S     
  100,000    4.25% (EUR Swap Annual 5 Year+4.18%), 05/05/21 (c)   112,309 
  150,000    4.45% (EUR Swap Annual 5 Year+4.24%), 09/15/22 (c)   167,566 
  300,000    Unipol Gruppo SpA Reg S
3.00%, 03/18/25 †
   341,920 
  200,000    UnipolSai Assicurazioni SpA Reg S
5.75% (Euribor 3 Month ACT/360+5.18%), 06/18/24 (c)
   211,623 
       Wind Tre SpA 144A     
  250,000    2.63%, 11/03/19 (c)   259,392 
  250,000    3.13%, 11/03/20 (c)   253,523 
  250,000    5.00%, 11/03/20 (c)   206,850 
           8,480,887 
Japan: 1.9%     
  200,000    Asahi Mutual Life Insurance Co. Reg S
6.50% (USD Swap Semi 30/360 5 Year+4.59%), 09/05/23 (c)
   195,992 
       SoftBank Group Corp. Reg S     
  200,000    4.75%, 06/21/24 (c)   196,798 
  200,000    5.13%, 06/21/27 (c) †   193,677 
  200,000    5.38%, 04/30/22 (c)   203,000 
  700,000    6.00% (USD ICE Swap Rate 11:00am NY 5 Year+4.23%), 07/19/23 (c)   627,613 
  900,000    6.25%, 01/16/28 (c) †   937,257 
  200,000    6.88% (USD ICE Swap Rate 11:00am NY 5 Year+4.85%), 07/19/27 (c) †   176,303 
           2,530,640 
Kazakhstan: 0.5%     
  200,000    Halyk Savings Bank of Kazakhstan JSC 144A
7.25%, 01/28/21
   210,224 
       KazMunayGas National Co. JSC 144A     
  100,000    4.75%, 04/19/27   101,388 
  300,000    5.75%, 04/19/47   303,382 
           614,994 
Luxembourg: 8.4%     
  200,000    Adecoagro SA 144A
6.00%, 09/21/22 (c)
   176,000 
       Altice Financing SA Reg S     
EUR 150,000    5.25%, 03/04/19 (c)Reg S   175,257 
USD 600,000    6.63%, 03/04/19 (c)144A   604,680 
  200,000    7.50%, 05/15/21 (c)144A   190,000 
       Altice Luxembourg SA Reg S     
EUR 100,000    6.25%, 02/15/20 (c)Reg S   99,358 
  200,000    7.25%, 03/04/19 (c)Reg S   226,505 
USD 100,000    7.63%, 02/15/20 (c)144A   85,375 
  700,000    Altice SA 144A
7.75%, 03/04/19 (c)
   681,625 
  100,000    Amigo Luxembourg SA Reg S
7.63%, 01/15/20 (c)
   135,678 
  200,000    ARD Finance SA
7.38% 09/15/19 (c)
   220,597 
  100,000    BMBG Bond Finance SCA Reg S
3.00%, 03/04/19 (c)
   116,490 
  101,000    Cabot Financial Luxembourg SA Reg S
7.50%, 10/01/19 (c)
   125,777 
  150,000    Cirsa Finance International Sarl 144A
6.25%, 06/20/20 (c)
   179,539 
  200,000    Codere Finance SA Reg S
6.75%, 03/04/19 (c)
   214,715 
  200,000    Consolidated Energy Finance SA 144A
6.88%, 06/15/20 (c)
   198,000 
  100,000    Cosan Luxembourg SA 144A
7.00%, 01/20/22 (c)
   105,125 
  155,000    CSN Resources SA 144A
6.50%, 07/21/20 †
   154,612 
  100,000    DEA Finance SA Reg S
7.50%, 04/15/19 (c)
   120,864 
  250,000    Dufry Finance SCA Reg S
4.50%, 03/04/19 (c)
   297,396 
       Evraz Group SA Reg S     
  300,000    6.50%, 04/22/20 Reg S   306,921 
  100,000    6.50%, 04/22/20 144A   102,303 
       Fiat Chrysler Finance Europe SA Reg S     
EUR 100,000    4.75%, 03/22/21   123,728 
  250,000    4.75%, 07/15/22   315,704 
  200,000    Garfunkelux Holdco 3 SA Reg S
7.50%, 02/11/19 (c) †
   202,284 
  100,000    Gestamp Funding Luxembourg SA Reg S
3.50%, 05/15/19 (c)
   111,735 
  300,000    INEOS Group Holdings SA Reg S
5.38%, 08/01/19 (c) †
   350,032 
  200,000    Intralot Capital Luxembourg SA Reg S
5.25%, 09/15/20 (c)
   159,356 
  200,000    Klabin Finance SA 144A
5.25%, 07/16/24
   201,620 
  300,000    Matterhorn Telecom SA Reg S
3.88%, 02/11/19 (c)
   342,873 
  200,000    MHP Lux SA 144A
6.95%, 04/03/26
   180,000 
  200,000    Millicom International Cellular SA 144A
5.13%, 09/15/22 (c)
   189,500 
       Minerva Luxembourg SA 144A     
  125,000    5.88%, 01/19/23 (c)   112,969 
  200,000    6.50%, 09/20/21 (c)   192,060 
  200,000    Offshore Drilling Holding SA 144A
8.38%, 03/04/19 (c)
   103,000 
  250,000    Puma International Financing SA 144A
5.00%, 01/24/21 (c)
   208,807 
  100,000    Rossini Sarl Reg S
6.75%, 10/30/21 (c)
   117,757 
  200,000    Rumo Luxembourg Sarl 144A
7.38%, 02/09/21 (c)
   212,500 
       Sberbank of Russia 144A     
  350,000    5.13%, 10/29/22   351,820 
  400,000    6.13%, 02/07/22   415,860 
  100,000    Schmolz + Bickenbach Luxembourg Finance SA Reg S
5.63%, 07/15/19 (c)
   108,061 
  200,000    SES SA Reg S
4.63% (EUR Swap Annual 5 Year+4.66%), 01/02/22 (c)
   236,579 
  150,000    Swissport Financing Sarl 144A
6.75%, 02/11/19 (c)
   178,318 
  370,000    Telecom Italia Finance SA
7.75%, 01/24/33
   512,871 
  200,000    Telenet Finance Luxembourg Notes Sarl 144A
5.50%, 12/01/22 (c)
   190,000 
  90,000    Telenet Finance VI Luxembourg SCA Reg S
4.88%, 07/15/21 (c)
   111,260 
  200,000    Ultrapar International SA 144A
5.25%, 10/06/26
   201,302 
  200,000    Vm Holding SA 144A
5.38%, 02/04/27 (c)
   198,740 
  350,000    Votorantim Cimentos International SA 144A
7.25%, 04/05/41
   368,907 
  400,000    VTB Bank SA 144A
6.95%, 10/17/22
   410,700 
           10,925,160 
Mauritius: 0.4%     
  300,000    MTN Mauritius Investments Ltd. 144A
4.76%, 11/11/24
   284,683 
  200,000    Neerg Energy Ltd. 144A
6.00%, 02/13/20 (c)
   193,172 
           477,855 
Mexico: 1.5%     
  100,000    Banco Mercantil del Norte SA/Grand Cayman 144A
5.75% (US Treasury Yield Curve Rate T 5 Year+4.45%), 10/04/26 (c)
   94,260 
       BBVA Bancomer SA 144A     
  200,000    5.13% (US Treasury Yield Curve Rate T 5 Year+2.65%), 01/18/28 (c)   181,250 
  200,000    7.25%, 04/22/20   207,500 
       Cemex SAB de CV 144A     
  200,000    5.70%, 01/11/20 (c)   203,200 
  150,000    6.13%, 05/05/20 (c)   153,075 
  200,000    7.75%, 04/16/21 (c) †   216,500 
  200,000    Credito Real SAB de CV 144A
7.25%, 07/20/20 (c)
   197,500 
  200,000    Grupo Bimbo SAB de CV 144A
5.95% (US Treasury Yield Curve Rate T 5 Year+3.28%), 04/17/23 (c)
   198,740 
  300,000    Nemak SAB de CV 144A
4.75%, 01/23/21 (c)
   291,000 
       Unifin Financiera SA de CV 144A     
  100,000    7.00%, 07/15/21 (c)   91,000 
  200,000    7.25%, 09/27/20 (c)   193,750 
           2,027,775 
Netherlands: 12.2%     
USD 200,000    Cimpor Financial Operations BV 144A
5.75%, 07/17/19 (c)
   176,250 
  310,000    Constellium NV Reg S
4.63%, 03/04/19 (c)
   360,840 
  125,000    Ferrovial Netherlands BV Reg S
2.12% (EUR Swap Annual 5 Year+2.13%), 05/14/23 (c)
   123,458 
  400,000    Fiat Chrysler Automobiles NV
5.25%, 04/15/23
   405,496 
  300,000    Fiat Chrysler Automobiles NV Reg S
3.75%, 03/29/24
   367,746 
  200,000    Greenko Dutch BV 144A
5.25%, 07/24/20 (c)
   185,970 
       GTH Finance BV 144A     
  100,000    6.25%, 01/26/20 (c)   101,917 
  200,000    7.25%, 01/26/23 (c)   210,827 
  200,000    IHS Netherlands Holdco BV 144A
9.50%, 03/04/19 (c)
   206,886 
  200,000    Indo Energy Finance II BV 144A
6.38%, 03/04/19 (c)
   195,081 
  100,000    Intertrust Group BV Reg S
3.38%, 11/15/21 (c)
   115,067 
  200,000    InterXion Holding NV Reg S
4.75%, 06/15/21 (c)
   240,919 
  100,000    IPD 3 BV Reg S
4.50%, 07/15/19 (c)
   115,261 
  250,000    Kazakhstan Temir Zholy Finance BV 144A
6.95%, 07/10/42
   278,856 
  149,000    Koninklijke KPN NV Reg S
6.88% (GBP Swap 5 Year+5.50%), 03/14/20 (c)
   202,764 
  200,000    Marfrig Holding Europe BV 144A
8.00%, 06/08/19 (c)
   207,392 
       Metinvest BV 144A     
  150,000    7.75%, 01/23/23 (c)   143,419 
  100,000    8.50%, 01/23/26 (c)   94,958 
  200,000    Naturgy Finance BV Reg S
4.13% (EUR Swap Annual 8 Year+3.35%), 11/18/22 (c)
   239,057 
  200,000    Nostrum Oil & Gas Finance BV 144A
8.00%, 07/25/19 (c)
   136,285 
  125,000    Nyrstar Netherlands Holdings BV Reg S
6.88%, 03/15/20 (c)
   66,104 
  100,000    OCI NV Reg S
5.00%, 04/15/20 (c)
   120,759 
       Petrobras Global Finance BV     
  180,000    4.25%, 10/02/23   224,805 
  71,000    4.38%, 05/20/23   70,965 
EUR 200,000    4.75%, 01/14/25   251,223 
USD 450,000    5.30%, 01/27/25 †   452,700 
  150,000    5.75%, 02/01/29   147,120 
EUR 100,000    5.88%, 03/07/22   129,826 
USD 675,000    6.00%, 01/27/28   673,515 
  200,000    6.25%, 03/17/24   211,826 
  275,000    6.85%, 06/05/15   267,437 
  250,000    6.88%, 01/20/40   254,687 
  300,000    7.25%, 03/17/44   316,800 
  400,000    7.38%, 01/17/27   435,800 
  44,000    8.38%, 05/23/21   48,499 
  330,000    8.75%, 05/23/26   387,931 
  41,000    Phoenix PIB Dutch Finance BV Reg S
3.63%, 07/30/21
   49,905 
  300,000    Repsol International Finance BV Reg S
3.88% (EUR Swap Annual 6 Year+3.56%), 03/25/21 (c)
   359,473 
  300,000    Saipem Finance International BV Reg S
3.75%, 09/08/23 †
   362,848 
  200,000    Samvardhana Motherson Automotive Systems Group BV Reg S
4.88%, 06/16/19 (c)
   197,409 
  125,000    Selecta Group BV Reg S
5.88%, 02/01/20 (c)
   140,746 
  200,000    Sigma Holdco BV Reg S
5.75%, 05/15/21 (c)
   212,042 
  150,000    Stars Group Holdings BV / Stars Group US Co-Borrower LLC 144A
7.00%, 07/15/21 (c)
   152,670 
  400,000    Stichting Afwikkeling Onderhandse Schulden SNS REAAL Reg S
11.25% (EUR Swap Annual 5 Year+9.76%), 11/27/19 (c) (d) §
   3,993 
       Telefonica Europe BV Reg S     
  200,000    2.63% (EUR Swap Annual 5 Year+2.33%), 06/07/23 (c)   216,609 
  200,000    3.00% (EUR Swap Annual 5 Year+2.45%), 12/04/23 (c)   219,588 
  200,000    3.75% (EUR Swap Annual 5 Year+3.86%), 03/15/22 (c)   235,349 
  100,000    3.88% (EUR Swap Annual 8 Year+2.97%), 09/22/26 (c)   107,343 
  200,000    5.88% (EUR Swap Annual 10 Year+4.30%), 03/31/24 (c)   251,705 
GBP 100,000    6.75% (GBP Swap 5 Year+4.46%), 11/26/20 (c)   139,335 
  175,000    TenneT Holding BV Reg S
3.00% (EUR Swap Annual 5 Year+2.53%), 06/01/24 (c)
   200,869 
       Teva Pharmaceutical Finance Netherlands II BV Reg S     
  350,000    0.38%, 07/25/20   398,434 
  250,000    1.13%, 10/15/24   254,659 
  240,000    1.25%, 12/31/22 (c)   260,090 
  100,000    1.63%, 10/15/28   92,160 
  100,000    1.88%, 12/31/26 (c)   99,371 
       Teva Pharmaceutical Finance Netherlands III BV     
USD 380,000    2.20%, 07/21/21   359,401 
  500,000    2.80%, 07/21/23   452,360 
  600,000    3.15%, 10/01/26   499,088 
  250,000    4.10%, 10/01/46   184,330 
  150,000    6.00%, 01/15/24 (c)   152,680 
  200,000    6.75%, 12/01/27 (c)   208,235 
  160,000    United Group BV Reg S
4.38%, 07/01/19 (c)
   184,716 
  100,000    UPC Holding BV 144A
5.50%, 10/15/22 (c)
   93,000 
       VEON Holdings BV 144A     
  100,000    3.95%, 03/16/21 (c)   98,255 
  100,000    5.95%, 02/13/23   103,660 
  100,000    7.50%, 03/01/22   109,581 
  200,000    VIVAT NV Reg S
6.25% (USD Swap Semi 30/360 5 Year+4.17%), 11/16/22 (c)
   196,960 
  200,000    VTR Finance BV 144A
6.88%, 02/11/19 (c)
   206,730 
  100,000    Ziggo Bond Co. BV Reg S
7.13%, 05/15/19 (c)
   120,731 
       Ziggo BV Reg S     
  200,000    3.75%, 01/15/20 (c)   234,318 
  200,000    4.25%, 01/15/22 (c)   232,768 
  350,000    Ziggo Secured Finance BV 144A
5.50%, 01/15/22 (c)
   331,516 
           15,891,373 
Nigeria: 0.1%     
  200,000    Zenith Bank Plc 144A
7.38%, 05/30/22
   204,503 
Norway: 0.1%     
  150,000    Aker BP ASA 144A
6.00%, 07/01/19 (c)
   154,125 
Panama: 0.1%     
  200,000    AES Panama SRL 144A
6.00%, 06/25/19 (c)
   205,660 
Peru: 0.4%     
  200,000    Minsur SA 144A
6.25%, 02/07/24
   211,750 
  200,000    Orazul Energy Egenor S. en C. por A. 144A
5.63%, 04/28/22 (c)
   185,250 
  100,000    Volcan Cia Minera SAA 144A
5.38%, 02/02/22
   102,125 
           499,125 
Portugal: 0.3%     
EUR 300,000    EDP - Energias de Portugal SA Reg S
5.38% (EUR Swap Annual 5 Year+5.04%), 03/16/21 (c)
   367,026 
Russia: 0.1%     
USD 200,000    Global Ports Finance Plc 144A
6.50%, 09/22/23
   205,245 
Singapore: 0.9%     
       ABJA Investment Co. Pte Ltd. Reg S     
  200,000    4.85%, 01/31/20   201,312 
  250,000    5.95%, 07/31/24 †   252,685 
  150,000    Bakrie Telecom Pte Ltd.  Reg S
11.50%, 05/07/15 (c) (d) §
   2,250 
  200,000    Global Prime Capital Pte Ltd. Reg S
5.50%, 10/18/20 (c)
   190,561 
  200,000    Marble II Pte Ltd. 144A
5.30%, 06/20/19 (c)
   199,631 
  200,000    Medco Platinum Road Pte Ltd. 144A
6.75%, 01/30/22 (c)
   183,210 
  200,000    Theta Capital Pte Ltd. Reg S
6.75%, 10/31/21 (c)
   138,522 
           1,168,171 
South Africa: 0.8%     
       Eskom Holdings SOC Ltd. 144A     
  200,000    5.75%, 01/26/21   196,391 
  200,000    6.75%, 08/06/23   197,104 
  100,000    7.13%, 02/11/25 †   98,825 
  100,000    8.45%, 08/10/28   103,667 
  200,000    FirstRand Bank Ltd. Reg S
6.25% (USD Swap Semi 30/360 5 Year+3.56%), 04/23/23 (c)
   204,728 
  128,340    South Africa Ltd. 144A
3.00% 12/31/22 §
   4,479 
  200,000    Transnet SOC Ltd. 144A
4.00%, 07/26/22
   192,334 
           997,528 
South Korea: 0.1%     
  200,000    Woori Bank 144A
4.50% (US Treasury Yield Curve Rate T 5 Year+3.31%), 09/27/21 (c)
   200,521 
Spain: 1.4%     
  63,011    Abengoa Abenewco 2 SAU Reg S
1.25% 03/31/23
   1,103 
  100,000    Abengoa SA
03/31/27 (s) §
   1,147 
  250,000    AI Candelaria Spain SLU 144A
7.50%, 09/15/28 (c)
   246,000 
  200,000    Banco de Sabadell SA Reg S
5.63%, 05/06/26
   240,401 
  200,000    Bankia SA Reg S
3.38% (EUR Swap Annual 5 Year+3.35%), 03/15/22 (c)
   231,344 
  100,000    Bankinter SA Reg S
2.50% (EUR Swap Annual 5 Year+2.40%), 04/06/22 (c)
   114,847 
  300,000    Cellnex Telecom SAU Reg S
3.13%, 07/27/22
   361,691 
  100,000    El Corte Ingles SA Reg S
3.00%, 10/15/20 (c)
   117,198 
  175,000    Grifols SA Reg S
3.20%, 05/01/20 (c)
   201,031 
  125,000    Grupo Antolin-Irausa SA Reg S
3.25%, 04/30/20 (c)
   115,623 
       Grupo Isolux Corsan SA     
  302    0.25%, 03/04/19 (c) (d) §   1 
  56,417    6.00%, 03/04/19 (c) (d) §   1,457 
  100,000    Ibercaja Banco SA Reg S
5.00% (EUR Swap Annual 5 Year+4.55%), 07/28/20 (c)
   115,904 
  100,000    Obrascon Huarte Lain SA Reg S
5.50%, 03/04/19 (c)
   61,541 
           1,809,288 
Sweden: 1.3%     
  175,000    Akelius Residential Property AB Reg S
3.88% (EUR Swap Annual 5 Year+3.49%), 07/05/23 (c)
   200,041 
  100,000    Corral Petroleum Holdings AB Reg S
13.25% 05/15/19 (c)
   123,055 
  300,000    Intrum AB Reg S
3.13%, 07/15/20 (c)
   328,108 
  200,000    Stena AB 144A
7.00%, 02/01/24 †
   185,500 
  300,000    Telefonaktiebolaget LM Ericsson Reg S
1.88%, 03/01/24 †
   344,532 
  200,000    Verisure Midholding AB Reg S
5.75%, 12/01/19 (c)
   229,947 
       Volvo Car AB Reg S     
  125,000    2.00%, 10/24/24 (c)   135,793 
  100,000    3.25%, 05/18/21   120,327 
           1,667,303 
Thailand: 0.1%     
  200,000    PTTEP Treasury Center Co. Ltd. 144A
4.60% (US Treasury Yield Curve Rate T 5 Year+2.72%), 07/17/22 (c)
   190,272 
Turkey: 3.3%     
       Akbank TAS 144A     
  125,000    5.00%, 10/24/22   119,149 
  150,000    5.13%, 03/31/25   134,246 
  200,000    Arcelik AS 144A
5.00%, 04/03/23
   190,097 
  200,000    Fibabanka AS Reg S
6.00%, 01/25/23
   165,705 
  200,000    Finansbank AS 144A
4.88%, 05/19/22
   192,979 
  300,000    KOC Holding AS 144A
5.25%, 12/15/22 (c)
   293,887 
  200,000    TC Ziraat Bankasi AS 144A
5.13%, 05/03/22
   187,212 
  225,000    Tupras Turkiye Petrol Rafinerileri AS 144A
4.50%, 07/20/24 (c)
   205,499 
  100,000    Turk Telekomunikasyon AS 144A
4.88%, 06/19/24
   92,051 
  200,000    Turkcell Iletisim Hizmetleri AS 144A
5.80%, 01/11/28 (c)
   184,115 
  400,000    Turkiye Garanti Bankasi AS 144A
5.25%, 09/13/22
   385,020 
  300,000    Turkiye Halk Bankasi AS 144A
3.88%, 02/05/20
   289,239 
       Turkiye Is Bankasi AS 144A     
  300,000    5.00%, 04/30/20   296,129 
  625,000    6.00%, 10/24/22   561,794 
  200,000    Turkiye Sinai Kalkinma Bankasi AS Reg S
5.50%, 01/16/23
   177,123 
  100,000    Turkiye Sise ve Cam Fabrikalari AS 144A
4.25%, 05/09/20
   99,228 
       Turkiye Vakiflar Bankasi TAO 144A     
  125,000    5.50%, 10/27/21   120,398 
  100,000    5.75%, 01/30/23   92,598 
  200,000    6.00%, 11/01/22   180,284 
       Yapi ve Kredi Bankasi AS 144A     
  150,000    5.75%, 02/24/22   144,065 
  175,000    5.85%, 06/21/24   156,927 
           4,267,745 
United Arab Emirates: 0.3%     
  200,000    First Abu Dhabi Bank PJSC Reg S
5.25% (USD Swap Semi 30/360 5 Year+3.35%), 06/17/20 (c)
   201,038 
  200,000    Oztel Holdings SPC Ltd. 144A
5.63%, 10/24/23 †
   195,355 
           396,393 
United Kingdom: 9.2%     
       AngloGold Ashanti Holdings Plc     
  125,000    5.13%, 08/01/22   127,813 
  137,000    5.38%, 04/15/20   139,213 
  200,000    Ardonagh Midco 3 Plc Reg S
8.38%, 07/15/20 (c)
   224,942 
  100,000    Arqiva Broadcast Finance Plc Reg S
6.75%, 09/30/20 (c)
   137,200 
  200,000    Aston Martin Capital Holdings Ltd. 144A
6.50%, 04/15/19 (c)
   197,000 
  30,000    Barclays Bank Plc
6.28% (ICE LIBOR USD 3 Month+1.55%), 12/15/34 (c)
   28,963 
  90,000    Barclays Bank Plc Reg S
4.75% (Euribor 3 Month ACT/360+.71%), 03/15/20 (c)
   92,434 
  100,000    Boparan Finance Plc Reg S
5.50%, 02/11/19 (c)
   100,133 
  149,000    Co-operative Group Holdings Ltd. Reg S
6.88%, 07/08/20 (s)
   204,283 
  150,000    Delphi Technologies Plc 144A
5.00%, 10/01/25
   129,000 
  200,000    Drax Finco Plc 144A
6.63%, 05/01/21 (c)
   199,500 
  200,000    DTEK Finance Plc
10.75% 03/04/19 (c)
   193,700 
  200,000    EI Group Plc Reg S
6.38%, 03/04/19 (c)
   269,291 
  750,000    Ensco Plc
5.75%, 04/01/44 (c)
   493,125 
  150,000    GKN Holdings Plc Reg S
5.38%, 09/19/22
   209,602 
  150,000    Globalworth Real Estate Investments Ltd. Reg S
2.88%, 06/20/22
   174,540 
  150,000    Heathrow Finance Plc Reg S
5.75%, 03/03/25
   205,463 
  300,000    Inmarsat Finance Plc 144A
4.88%, 03/04/19 (c)
   291,750 
  150,000    International Personal Finance Plc Reg S
5.75%, 04/07/21
   158,346 
       Jaguar Land Rover Automotive Plc Reg S     
  200,000    2.20%, 01/15/24 Reg S   182,142 
GBP 430,000    5.00%, 02/15/22 144A   511,777 
  110,000    Jerrold Finco Plc Reg S
6.25%, 09/15/19 (c)
   145,007 
  300,000    KCA Deutag Finance Plc 144A
7.25%, 03/04/19 (c)
   240,000 
  100,000    Ladbrokes Group Finance Plc Reg S
5.13%, 09/16/22
   135,211 
  100,000    LHC3 Plc Reg S
9.00% 08/15/20 (c)
   114,639 
  250,000    Lincoln Finance Ltd. Reg S
6.88%, 02/11/19 (c)
   295,648 
  200,000    Liquid Telecommunications Financing Plc 144A
8.50%, 07/13/20 (c)
   204,872 
       Lloyds Banking Group Plc 144A     
  190,000    6.41% (ICE LIBOR USD 3 Month+1.50%), 10/01/35 (c)   186,200 
  250,000    6.66% (ICE LIBOR USD 3 Month+1.27%), 05/21/37 (c)   245,780 
  200,000    MARB BondCo Plc 144A
6.88%, 01/19/21 (c)
   191,800 
  100,000    Matalan Finance Plc Reg S
6.75%, 01/31/20 (c)
   121,514 
  100,000    Mclaren Finance Plc Reg S
5.00%, 08/01/19 (c)
   122,739 
  150,000    Merlin Entertainments Plc Reg S
2.75%, 12/15/21 (c)
   178,224 
  200,000    Oschadbank 144A
9.38%, 03/10/23 (s)
   200,030 
  200,000    OTE Plc Reg S
3.50%, 07/09/20
   237,769 
  100,000    Petra Diamonds US Treasury Plc 144A
7.25%, 05/01/19 (c)
   94,250 
  400,000    Polyus Gold International Ltd. 144A
5.63%, 04/29/20
   404,664 
  50,000    Royal Bank of Scotland Group Plc Reg S
3.63% (EUR Swap Annual 5 Year+2.65%), 03/25/19 (c)
   57,469 
  100,000    Shop Direct Funding Plc Reg S
7.75%, 11/15/19 (c)
   114,462 
  200,000    Standard Chartered Plc 144A
7.01% (ICE LIBOR USD 3 Month+1.46%), 07/30/37 (c)
   206,539 
  100,000    Stonegate Pub Co. Financing Plc Reg S
4.88%, 03/15/19 (c)
   128,066 
  100,000    Stretford 79 Plc Reg S
6.75%, 07/15/19 (c)
   128,844 
  200,000    Synlab Bondco Plc Reg S
6.25%, 02/11/19 (c)
   238,146 
  120,000    Tesco Corporate Treasury Services Plc Reg S
2.50%, 07/01/24
   142,871 
  280,000    Tesco Plc
6.13%, 02/24/22
   408,182 
  150,000    Tesco Plc Reg S
5.13%, 04/10/47
   200,964 
  190,000    Thomas Cook Group Plc Reg S
6.25%, 06/15/19 (c)
   173,651 
  100,000    Titan Global Finance Plc Reg S
3.50%, 06/17/21
   119,180 
  150,000    Travelport Corporate Finance Plc 144A
6.00%, 03/15/21 (c)
   154,500 
  100,000    Travis Perkins Plc Reg S
4.38%, 09/15/21
   135,194 
  200,000    Tullow Oil Plc 144A
7.00%, 03/01/21 (c)
   195,804 
  100,000    Twinkle Pizza Plc Reg S
6.63%, 02/11/19 (c)
   111,444 
  450,000    Vedanta Resources Plc 144A
6.13%, 08/09/21 (c)
   410,469 
       Virgin Media Secured Finance Plc Reg S     
  375,000    4.88%, 01/15/21 (c)Reg S   475,372 
  200,000    5.00%, 04/15/22 (c)Reg S   255,987 
USD 200,000    5.25%, 01/15/20 (c)144A   197,750 
GBP 200,000    6.00%, 01/15/21 (c) (s)144A   295,209 
  150,000    Viridian Group FinanceCo. Plc/Viridian Power and Energy Reg S
4.75%, 09/15/20 (c)
   190,407 
  125,000    William Hill Plc Reg S
4.25%, 06/05/20
   167,588 
  100,000    Worldpay Finance Plc Reg S
3.75%, 08/15/22 (c)
   123,524 
           12,020,186 
United States: 2.6%     
USD 100,000    Calfrac Holdings LP 144A
8.50%, 06/15/21 (c)
   75,500 
  350,000    Cemex Finance LLC 144A
6.00%, 04/01/19 (c)
   357,528 
  100,000    CGG Holding US, Inc. Reg S
7.88%, 05/01/20 (c)
   120,457 
  200,000    Cott Holdings, Inc. 144A
5.50%, 04/01/20 (c)
   198,750 
       DAE Funding LLC 144A     
  150,000    4.00%, 08/01/19 (c)   148,500 
  300,000    5.00%, 08/01/20 (c)   295,650 
  150,000    Dresdner Funding Trust I 144A
8.15%, 06/30/29 (c)
   182,191 
       JBS USA LUX SA / JBS USA Finance, Inc. 144A      
  100,000    6.75%, 02/15/23 (c)   102,500 
  275,000    7.25%, 03/06/19 (c)   278,965 
  100,000    Kronos Acquisition Holdings, Inc. 144A
9.00%, 03/04/19 (c)
   85,000 
  90,000    Leonardo US Holdings, Inc. 144A
6.25%, 01/15/40
   80,550 
       Mercer International, Inc.     
  41,000    5.50%, 01/15/21 (c)   38,233 
  100,000    6.50%, 02/01/20 (c)   101,538 
  160,000    Navios Maritime Holdings, Inc. and Navios Maritime Finance II USA, Inc. 144A
7.38%, 03/04/19 (c)
   94,400 
  100,000    RBS Capital Trust II
6.43% (ICE LIBOR USD 3 Month+1.94%), 01/03/34 (c)
   119,500 
  125,000    Resolute Forest Products, Inc.
5.88%, 03/04/19 (c)
   124,518 
  269,816    Rio Oil Finance Trust 144A
9.25%, 07/06/24
   292,076 
  100,000    Stillwater Mining Co. 144A
7.13%, 06/27/21 (c)
   95,465 
  220,000    Targa Resources Partners LP / Targa Resources Partners Finance Corp. 144A
6.50%, 07/15/22 (c)
   227,287 
  200,000    Teva Pharmaceutical Finance Co. LLC
6.15%, 02/01/36
   189,951 
  200,000    Teva Pharmaceutical Finance IV LLC
2.25%, 03/18/20
   195,379 
           3,403,938 
Total Corporate Bonds
(Cost: $132,522,326)
   126,758,964 
GOVERNMENT OBLIGATIONS: 0.8%     
Azerbaijan: 0.2%     
  200,000    State Oil Co. of the Azerbaijan Republic Reg S
4.75%, 03/13/23
   202,118 
Costa Rica: 0.1%     
  200,000    Instituto Costarricense de Electricidad Reg S
6.95%, 11/10/21
   193,750 
Turkey: 0.4%     
       Export Credit Bank of Turkey 144A     
  100,000    5.00%, 09/23/21   96,881 
  200,000    5.38%, 02/08/21   196,579 
  200,000    6.13%, 05/03/24   189,768 
           483,228 
United Kingdom: 0.1%     
  200,000    Ukreximbank 144A
9.75%, 01/22/25
   194,500 
Total Government Obligations
(Cost: $1,092,518)
   1,073,596 
           

Number
of Shares
         
MONEY MARKET FUND: 0.6%
(Cost: $809,355)
     
  809,355    Dreyfus Government Cash Management Fund - Institutional Shares   809,355 
COMMON STOCK: 0.0%
(Cost: $5,626)
     
United States: 0.0%     
  988    Tervita Corp.
* # §
   5,173 
WARRANTS: 0.0%
(Cost: $10,977)
     
Spain: 0.0%     
  138    Grupo Isolux Corsan SA
12/30/21 # § ∞
   0 
Total Investments Before Collateral for Securities Loaned: 98.4%
(Cost: $134,440,802)
   128,647,088 
      
Principal
Amount
         
SHORT-TERM INVESTMENTS HELD AS COLLATERAL FOR SECURITIES ON LOAN: 7.2%     
Repurchase Agreements: 7.2%     
$ 2,242,486    Repurchase agreement dated 1/31/19 with Citigroup Global Markets, Inc., 2.57%, due 2/1/19, proceeds $2,242,646; (collateralized by various U.S. government and agency obligations, 0.00% to 9.50%, due 3/31/19 to 2/1/49, valued at $2,287,336 including accrued interest)   2,242,486 
  458,691    Repurchase agreement dated 1/31/19 with Credit Agricole CIB, 2.57%, due 2/1/19, proceeds $458,724; (collateralized by various U.S. government and agency obligations, 0.25% to 2.88%, due 9/30/20 to 5/15/28, valued at $467,865 including accrued interest)   458,691 
  2,242,486    Repurchase agreement dated 1/31/19 with Daiwa Capital Markets America, Inc., 2.57%, due 2/1/19, proceeds $2,242,646; (collateralized by various U.S. government and agency obligations, 0.00% to 6.50%, due 2/7/19 to 9/9/49, valued at $2,287,336 including accrued interest)   2,242,486 
  2,242,486    Repurchase agreement dated 1/31/19 with Merrill Lynch, Pierce, Fenner & Smith, Inc., 2.57%, due 2/1/19, proceeds $2,242,646; (collateralized by various U.S. government and agency obligations, 2.00% to 10.50%, due 2/15/19 to 1/1/49, valued at $2,287,336 including accrued interest)   2,242,486 
  2,242,486    Repurchase agreement dated 1/31/19 with Mizuho Securities USA, Inc., 2.57%, due 2/1/19, proceeds $2,242,646; (collateralized by various U.S. government and agency obligations, 0.00% to 3.50%, due 4/18/19 to 2/1/48, valued at $2,287,336 including accrued interest)   2,242,486 
Total Short-Term Investments Held As Collateral For Securities On Loan
(Cost: $9,428,635)
   9,428,635 
Total Investments: 105.6%
(Cost: $143,869,437)
   138,075,723 
Liabilities in excess of other assets: (5.6)%   (7,379,595)
NET ASSETS: 100.0%  $130,696,128 

 

Definitions:

CAD Canadian Dollar
EUR Euro
GBP British Pound
USD United States Dollar
   

Footnotes:

(c) Callable Security - the redemption date shown is when the security may be redeemed by the issuer
(d) Security in default of coupon payment
(p) Puttable Security - the redemption date shown is when the security may be redeemed by the investor
(s) The rate shown reflects the rate in effect at the end of the reporting period. Coupon adjusts periodically based upon a predetermined schedule
* Non-income producing
Security fully or partially on loan. Total market value of securities on loan is $8,989,968.
# Security has been valued in good faith pursuant to guidelines established by the Board of Trustees. The aggregate value of fair valued securities is $5,173 which represents 0.0% of net assets.
§ Illiquid Security — the aggregate value of illiquid securities is $24,264 which represents 0.0% of net assets.
Security is valued using significant unobservable inputs and is classified as Level 3 in the fair value hierarchy.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
144A Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $48,982,096, or 37.5% of net assets.

 

Summary of Investments
by Sector Excluding
Collateral for Securities
Loaned
  % of
Investments
  Value 
Basic Materials   9.1%  $11,708,216 
Communications   17.8    22,906,178 
Consumer, Cyclical   9.1    11,731,339 
Consumer, Non-cyclical   9.6    12,376,198 
Diversified   1.1    1,375,157 
Energy   10.0    12,896,749 
Financial   28.7    36,925,378 
Government   0.8    1,073,596 
Industrial   8.2    10,516,100 
Technology   0.7    863,920 
Utilities   4.3    5,464,902 
Money Market Fund   0.6    809,355 
    100.0%  $128,647,088 

 

The summary of inputs used to value the Fund’s investments as of January 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Common Stock*  $   $5,173   $   $5,173 
Corporate Bonds*       126,758,964        126,758,964 
Government Obligations*       1,073,596        1,073,596 
Warrants*           0     
Money Market Funds   809,355            809,355 
Repurchase Agreements       9,428,635        9,428,635 
Total  $809,355   $137,266,368   $   $138,075,723 

 

* See Schedule of Investments for geographic sector breakouts.

 

The following table reconciles the valuation of the Fund’s Level 3 investment securities and related transactions during the period ended January 31, 2019:

 

   Warrants  
   Spain  
Balance as of April 30, 2018  $0 
Realized gain (loss)    
Net change in unrealized appreciation (depreciation)   0 
Purchases    
Sales    
Transfers in and/or out of level 3    
Balance as of January 31, 2019  $0 

 

See Notes to Schedules of Investments

 

VANECK VECTORS INVESTMENT GRADE FLOATING RATE ETF

SCHEDULE OF INVESTMENTS

January 31, 2019 (unaudited)

 

Principal
Amount
      Value 
FLOATING RATE NOTES: 99.4%     
Australia: 4.9%     
     Australia & New Zealand Banking Group Ltd. 144A     
$750,000   2.92% (ICE LIBOR USD 3 Month+.32%), 11/09/20  $749,732 
 1,200,000   3.10% (ICE LIBOR USD 3 Month+.46%), 05/17/21   1,200,237 
 1,300,000   3.35% (ICE LIBOR USD 3 Month+.71%), 05/19/22   1,303,444 
     Commonwealth Bank of Australia 144A     
 400,000   3.22% (ICE LIBOR USD 3 Month+.45%), 03/10/20   401,247 
 450,000   3.23% (ICE LIBOR USD 3 Month+.64%), 11/07/19   451,551 
 2,039,000   3.47% (ICE LIBOR USD 3 Month+.70%), 03/10/22   2,041,009 
 2,500,000   3.49% (ICE LIBOR USD 3 Month+.70%), 03/16/23   2,497,194 
 800,000   3.57% (ICE LIBOR USD 3 Month+.83%), 09/06/21   806,461 
 375,000   Macquarie Bank Ltd. 144A
3.87% (ICE LIBOR USD 3 Month+1.12%), 07/29/20
   379,096 
 1,900,000   Macquarie Group Ltd. 144A
4.17% (ICE LIBOR USD 3 Month+1.35%), 03/27/23 (c)
   1,887,199 
     National Australia Bank Ltd. 144A     
 750,000   3.15% (ICE LIBOR USD 3 Month+.35%), 01/12/21   748,886 
 1,200,000   3.19% (ICE LIBOR USD 3 Month+.51%), 05/22/20   1,204,837 
 1,780,000   3.40% (ICE LIBOR USD 3 Month+.72%), 05/22/22   1,787,635 
 1,770,000   3.40% (ICE LIBOR USD 3 Month+.60%), 04/12/23   1,758,438 
 1,800,000   3.67% (ICE LIBOR USD 3 Month+.89%), 01/10/22   1,815,893 
 725,000   3.80% (ICE LIBOR USD 3 Month+1.00%), 07/12/21   732,123 
     Westpac Banking Corp.     
 570,000   2.90% (ICE LIBOR USD 3 Month+.28%), 05/15/20   570,248 
 514,000   3.11% (ICE LIBOR USD 3 Month+.34%), 01/25/21   513,062 
 500,000   3.17% (ICE LIBOR USD 3 Month+.43%), 03/06/20   501,449 
 337,000   3.20% (ICE LIBOR USD 3 Month+.56%), 08/19/19   337,863 
 2,570,000   3.34% (ICE LIBOR USD 3 Month+.72%), 05/15/23   2,567,575 
 1,697,000   3.37% (ICE LIBOR USD 3 Month+.57%), 01/11/23   1,683,823 
 660,000   3.49% (ICE LIBOR USD 3 Month+.85%), 08/19/21   665,939 
 1,625,000   3.52% (ICE LIBOR USD 3 Month+.71%), 06/28/22   1,630,324 
 1,750,000   3.65% (ICE LIBOR USD 3 Month+.85%), 01/11/22   1,766,018 
         30,001,283 
Canada: 4.1%     
     Bank of Montreal     
 950,000   3.14% (ICE LIBOR USD 3 Month+.34%), 07/13/20   951,929 
 725,000   3.23% (ICE LIBOR USD 3 Month+.44%), 06/15/20   727,276 
 1,000,000   3.26% (ICE LIBOR USD 3 Month+.46%), 04/13/21   1,001,847 
 580,000   3.48% (ICE LIBOR USD 3 Month+.79%), 08/27/21   584,908 
     Bank of Nova Scotia     
 635,000   3.09% (ICE LIBOR USD 3 Month+.29%), 01/08/21   634,261 
 875,000   3.20% (ICE LIBOR USD 3 Month+.44%), 04/20/21   875,025 
 357,000   3.37% (ICE LIBOR USD 3 Month+.62%), 12/05/19   358,354 
 1,725,000   3.41% (ICE LIBOR USD 3 Month+.64%), 03/07/22   1,726,699 
     Canadian Imperial Bank of Commerce     
 750,000   3.05% (ICE LIBOR USD 3 Month+.32%), 02/02/21   748,569 
 651,000   3.11% (ICE LIBOR USD 3 Month+.31%), 10/05/20   651,312 
 800,000   3.20% (ICE LIBOR USD 3 Month+.41%), 09/20/19   801,199 
 450,000   3.26% (ICE LIBOR USD 3 Month+.52%), 09/06/19   450,967 
 1,700,000   3.44% (ICE LIBOR USD 3 Month+.66%), 09/13/23 †   1,695,428 
 1,700,000   3.51% (ICE LIBOR USD 3 Month+.72%), 06/16/22   1,703,981 
     Enbridge, Inc.     
 546,000   3.18% (ICE LIBOR USD 3 Month+.40%), 01/10/20   543,660 
 320,000   3.49% (ICE LIBOR USD 3 Month+.70%), 06/15/20   319,797 
 435,000   National Bank of Canada
3.34% (ICE LIBOR USD 3 Month+.56%), 05/12/20 (c)
   436,565 
     Royal Bank of Canada     
 450,000   2.95% (ICE LIBOR USD 3 Month+.24%), 08/29/19   450,591 
 600,000   3.00% (ICE LIBOR USD 3 Month+.24%), 10/26/20   599,405 
 750,000   3.06% (ICE LIBOR USD 3 Month+.30%), 07/22/20   750,502 
 450,000   3.12% (ICE LIBOR USD 3 Month+.38%), 03/02/20   451,018 
 1,911,000   3.14% (ICE LIBOR USD 3 Month+.39%), 04/30/21   1,911,358 
 425,000   3.26% (ICE LIBOR USD 3 Month+.52%), 03/06/20   426,598 
 1,596,000   3.47% (ICE LIBOR USD 3 Month+.73%), 02/01/22   1,604,838 
     Toronto-Dominion Bank     
 629,000   3.01% (ICE LIBOR USD 3 Month+.24%), 01/25/21   627,325 
 750,000   3.05% (ICE LIBOR USD 3 Month+.26%), 09/17/20   750,728 
 730,000   3.05% (ICE LIBOR USD 3 Month+.28%), 06/11/20   729,409 
 452,000   3.14% (ICE LIBOR USD 3 Month+.56%), 11/05/19   452,978 
 950,000   3.20% (ICE LIBOR USD 3 Month+.43%), 06/11/21   951,232 
 550,000   3.80% (ICE LIBOR USD 3 Month+1.00%), 04/07/21   557,664 
 400,000   TransCanada PipeLines Ltd.
2.89% (ICE LIBOR USD 3 Month+.28%), 11/15/19
   399,824 
         24,875,247 
Cayman Islands: 0.3%     
 1,825,000   Tencent Holdings Ltd. 144A
3.37% (ICE LIBOR USD 3 Month+.60%), 01/19/23
   1,808,559 
China / Hong Kong: 0.2%     
 725,000   AIA Group Ltd. 144A
3.31% (ICE LIBOR USD 3 Month+.52%), 08/20/21 (c)
   723,071 
 550,000   Industrial & Commercial Bank of China Ltd.
3.34% (ICE LIBOR USD 3 Month+.75%), 11/08/20
   550,351 
         1,273,422 
Denmark: 0.1%     
 300,000   Danske Bank A/S 144A
3.32% (ICE LIBOR USD 3 Month+.58%), 09/06/19
   299,707 
Finland: 0.1%     
 800,000   Nordea Bank Abp 144A
3.18% (ICE LIBOR USD 3 Month+.47%), 05/29/20
   802,380 
France: 1.4%     
 375,000   Banque Federative du Credit Mutuel SA 144A
3.25% (ICE LIBOR USD 3 Month+.49%), 07/20/20
   375,659 
 2,175,000   BPCE SA
3.59% (ICE LIBOR USD 3 Month+.88%), 05/31/22
   2,166,632 
     BPCE SA 144A     
 1,715,000   3.90% (ICE LIBOR USD 3 Month+1.22%), 05/22/22   1,714,947 
 1,725,000   4.02% (ICE LIBOR USD 3 Month+1.24%), 09/12/23   1,702,822 
     Credit Agricole SA 144A     
 300,000   3.74% (ICE LIBOR USD 3 Month+.97%), 06/10/20   302,356 
 1,700,000   3.80% (ICE LIBOR USD 3 Month+1.02%), 04/24/23   1,682,587 
 500,000   Societe Generale SA 144A
4.13% (ICE LIBOR USD 3 Month+1.33%), 04/08/21
   506,706 
         8,451,709 
Germany: 0.6%     
     Deutsche Bank AG     
 827,000   3.58% (ICE LIBOR USD 3 Month+.81%), 01/22/21   805,852 
 500,000   3.77% (ICE LIBOR USD 3 Month+.97%), 07/13/20   492,962 
 1,565,000   3.82% (ICE LIBOR USD 3 Month+1.19%), 11/16/22   1,483,813 
 650,000   4.03% (ICE LIBOR USD 3 Month+1.29%), 02/04/21   638,613 
         3,421,240 
Japan: 7.5%     
     Mitsubishi UFJ Financial Group, Inc.     
 1,000,000   3.41% (ICE LIBOR USD 3 Month+.65%), 07/26/21   1,000,353 
 2,539,000   3.48% (ICE LIBOR USD 3 Month+.74%), 03/02/23   2,520,037 
 3,350,000   3.56% (ICE LIBOR USD 3 Month+.79%), 07/25/22   3,347,778 
 1,614,000   3.61% (ICE LIBOR USD 3 Month+.92%), 02/22/22   1,618,098 
 5,500,000   3.62% (ICE LIBOR USD 3 Month+.86%), 07/26/23   5,492,654 
 1,335,000   3.84% (ICE LIBOR USD 3 Month+1.06%), 09/13/21   1,347,513 
 900,000   4.62% (ICE LIBOR USD 3 Month+1.88%), 03/01/21   920,222 
     Mizuho Financial Group, Inc.     
 2,900,000   3.54% (ICE LIBOR USD 3 Month+.79%), 03/05/23   2,888,618 
 4,310,000   3.65% (ICE LIBOR USD 3 Month+.94%), 02/28/22   4,326,357 
 3,854,000   3.65% (ICE LIBOR USD 3 Month+.88%), 09/11/22   3,855,187 
 2,225,000   3.77% (ICE LIBOR USD 3 Month+1.00%), 09/11/23 (c) †   2,231,532 
 1,225,000   3.92% (ICE LIBOR USD 3 Month+1.14%), 09/13/21   1,237,708 
 400,000   Mizuho Financial Group, Inc. 144A
4.27% (ICE LIBOR USD 3 Month+1.48%), 04/12/21
   404,953 
     Sumitomo Mitsui Banking Corp.     
 400,000   3.09% (ICE LIBOR USD 3 Month+.31%), 10/18/19   399,806 
 1,175,000   3.12% (ICE LIBOR USD 3 Month+.35%), 01/17/20   1,177,027 
 1,250,000   3.15% (ICE LIBOR USD 3 Month+.37%), 10/16/20   1,248,921 
     Sumitomo Mitsui Financial Group, Inc.     
 1,700,000   3.51% (ICE LIBOR USD 3 Month+.74%), 01/17/23   1,691,767 
 1,750,000   3.52% (ICE LIBOR USD 3 Month+.74%), 10/18/22   1,742,073 
 1,675,000   3.57% (ICE LIBOR USD 3 Month+.78%), 07/12/22   1,672,985 
 2,925,000   3.58% (ICE LIBOR USD 3 Month+.80%), 10/16/23   2,905,990 
 1,650,000   3.62% (ICE LIBOR USD 3 Month+.86%), 07/19/23   1,646,919 
 625,000   3.90% (ICE LIBOR USD 3 Month+1.11%), 07/14/21   631,991 
 690,000   3.90% (ICE LIBOR USD 3 Month+1.14%), 10/19/21   697,913 
 300,000   Sumitomo Mitsui Trust Bank Ltd. 144A
3.69% (ICE LIBOR USD 3 Month+.91%), 10/18/19
   301,183 
         45,307,585 
Luxembourg: 0.1%     
 575,000   Allergan Funding SCS
4.03% (ICE LIBOR USD 3 Month+1.25%), 03/12/20
   579,512 
Mexico: 0.5%     
 3,185,000   Petroleos Mexicanos
6.42% (ICE LIBOR USD 3 Month+3.65%), 03/11/22
   3,221,628 
Netherlands: 3.1%     
     ABN AMRO Bank NV 144A     
 920,000   3.17% (ICE LIBOR USD 3 Month+.41%), 01/19/21   917,930 
 1,350,000   3.26% (ICE LIBOR USD 3 Month+.57%), 08/27/21   1,348,367 
 1,350,000   BNG Bank NV 144A
2.90% (ICE LIBOR USD 3 Month+.10%), 07/14/20
   1,351,960 
     Cooperatieve Rabobank UA     
 1,000,000   3.19% (ICE LIBOR USD 3 Month+.43%), 04/26/21   1,001,109 
 1,800,000   3.61% (ICE LIBOR USD 3 Month+.83%), 01/10/22   1,812,170 
     ING Groep NV     
 1,750,000   3.80% (ICE LIBOR USD 3 Month+1.00%), 10/02/23   1,729,007 
 3,550,000   3.95% (ICE LIBOR USD 3 Month+1.15%), 03/29/22   3,560,329 
 500,000   Mondelez International Holdings Netherlands BV 144A
3.37% (ICE LIBOR USD 3 Month+.61%), 10/28/19
   500,680 
     Nederlandse Waterschapsbank NV 144A     
 1,000,000   2.62% (ICE LIBOR USD 3 Month+.02%), 08/09/19   1,000,110 
 1,000,000   2.72% (ICE LIBOR USD 3 Month+.03%), 02/24/20   1,000,176 
     Shell International Finance BV     
 720,000   3.07% (ICE LIBOR USD 3 Month+.45%), 05/11/20   723,910 
 416,000   3.13% (ICE LIBOR USD 3 Month+.35%), 09/12/19   416,910 
     Siemens Financieringsmaatschappij NV 144A     
 625,000   3.13% (ICE LIBOR USD 3 Month+.34%), 03/16/20   625,540 
 3,050,000   3.40% (ICE LIBOR USD 3 Month+.61%), 03/16/22   3,054,856 
         19,043,054 
New Zealand: 0.3%     
 1,670,000   ASB Bank Ltd. 144A
3.75% (ICE LIBOR USD 3 Month+.97%), 06/14/23
   1,674,640 
Norway: 0.1%     
 650,000   DNB Bank ASA 144A
3.17% (ICE LIBOR USD 3 Month+.37%), 10/02/20
   650,508 
Singapore: 0.7%     
 1,750,000   BOC Aviation Ltd. 144A
3.95% (ICE LIBOR USD 3 Month+1.12%), 08/26/23 (c)
   1,748,633 
     DBS Group Holdings Ltd. 144A     
 950,000   3.26% (ICE LIBOR USD 3 Month+.49%), 06/08/20   950,819 
 900,000   3.39% (ICE LIBOR USD 3 Month+.62%), 07/25/22   903,540 
 700,000   United Overseas Bank Ltd. 144A
3.25% (ICE LIBOR USD 3 Month+.48%), 04/23/21
   699,252 
         4,302,244 
South Korea: 0.1%     
 400,000   KEB Hana Bank 144A
3.52% (ICE LIBOR USD 3 Month+.72%), 04/05/20
   400,518 
Spain: 0.8%     
     Banco Santander SA     
 1,770,000   3.77% (ICE LIBOR USD 3 Month+1.09%), 02/23/23   1,742,456 
 1,750,000   3.92% (ICE LIBOR USD 3 Month+1.12%), 04/12/23   1,729,104 
 1,650,000   4.36% (ICE LIBOR USD 3 Month+1.56%), 04/11/22   1,658,015 
         5,129,575 
Sweden: 1.0%     
     Skandinaviska Enskilda Banken AB 144A     
 1,450,000   3.07% (ICE LIBOR USD 3 Month+.43%), 05/17/21   1,446,753 
 325,000   3.35% (ICE LIBOR USD 3 Month+.57%), 09/13/19   325,977 
     Svenska Handelsbanken AB     
 400,000   3.13% (ICE LIBOR USD 3 Month+.36%), 09/08/20   400,246 
 1,575,000   3.16% (ICE LIBOR USD 3 Month+.47%), 05/24/21   1,577,485 
 400,000   3.23% (ICE LIBOR USD 3 Month+.49%), 09/06/19   400,890 
 1,750,000   Swedbank AB 144A
3.48% (ICE LIBOR USD 3 Month+.70%), 03/14/22
   1,752,501 
         5,903,852 
Switzerland: 2.9%     
     Credit Suisse Group AG 144A     
 1,700,000   3.98% (ICE LIBOR USD 3 Month+1.20%), 12/14/22 (c)   1,684,768 
 2,575,000   4.02% (ICE LIBOR USD 3 Month+1.24%), 06/12/23 (c)   2,550,882 
 250,000   UBS AG
3.25% (ICE LIBOR USD 3 Month+.64%), 08/14/19
   250,552 
     UBS AG 144A     
 1,247,000   3.22% (ICE LIBOR USD 3 Month+.48%), 11/01/20 (c)   1,246,118 
 1,425,000   3.35% (ICE LIBOR USD 3 Month+.58%), 05/08/20 (c)   1,429,217 
 1,740,000   UBS Group Funding Jersey Ltd. 144A
4.27% (ICE LIBOR USD 3 Month+1.53%), 02/01/22
   1,766,938 
     UBS Group Funding Switzerland AG 144A     
 4,250,000   3.57% (ICE LIBOR USD 3 Month+.95%), 08/15/22 (c)   4,206,653 
 3,370,000   3.87% (ICE LIBOR USD 3 Month+1.22%), 05/23/22 (c)   3,371,877 
 1,180,000   4.58% (ICE LIBOR USD 3 Month+1.78%), 04/14/21   1,205,286 
         17,712,291 
United Kingdom: 6.4%     
     Barclays Plc     
 1,250,000   3.26% (ICE LIBOR USD 3 Month+.46%), 12/11/20 (c)   1,233,336 
 1,600,000   4.05% (ICE LIBOR USD 3 Month+1.43%), 02/15/22 (c)   1,564,697 
 2,650,000   4.41% (ICE LIBOR USD 3 Month+1.62%), 01/10/22 (c)   2,617,073 
 1,280,000   4.73% (ICE LIBOR USD 3 Month+2.11%), 08/10/21   1,302,627 
 1,297,000   Credit Suisse Group Funding Guernsey Ltd.
5.07% (ICE LIBOR USD 3 Month+2.29%), 04/16/21
   1,337,608 
 400,000   Diageo Capital Plc
2.88% (ICE LIBOR USD 3 Month+.24%), 05/18/20
   399,552 
 1,050,000   GlaxoSmithKline Capital Plc
2.96% (ICE LIBOR USD 3 Month+.35%), 05/14/21
   1,047,296 
     HSBC Holdings Plc     
 2,500,000   3.24% (ICE LIBOR USD 3 Month+.60%), 05/18/20 (c)   2,496,563 
 6,705,000   3.64% (ICE LIBOR USD 3 Month+1.00%), 05/18/23 (c)   6,652,032 
 4,288,000   4.30% (ICE LIBOR USD 3 Month+1.50%), 01/05/22   4,381,652 
 1,200,000   4.35% (ICE LIBOR USD 3 Month+1.66%), 05/25/21   1,225,650 
 1,261,000   5.01% (ICE LIBOR USD 3 Month+2.24%), 03/08/21   1,302,604 
 1,300,000   Lloyds Bank Plc
3.08% (ICE LIBOR USD 3 Month+.49%), 05/07/21
   1,293,023 
 2,705,000   Reckitt Benckiser Treasury Services Plc 144A
3.38% (ICE LIBOR USD 3 Month+.56%), 06/24/22
   2,670,452 
 5,165,000   Royal Bank of Scotland Group Plc
4.09% (ICE LIBOR USD 3 Month+1.47%), 05/15/22 (c)
   5,068,389 
     Standard Chartered Plc 144A     
 500,000   3.77% (ICE LIBOR USD 3 Month+1.13%), 08/19/19   502,655 
 175,000   3.91% (ICE LIBOR USD 3 Month+1.15%), 01/20/22 (c)   173,484 
 3,515,000   Vodafone Group Plc
3.77% (ICE LIBOR USD 3 Month+.99%), 01/16/24
   3,477,958 
         38,746,651 
United States: 64.2%     
     American Express Co.     
 555,000   3.08% (ICE LIBOR USD 3 Month+.33%), 09/29/20 (c)   554,499 
 1,000,000   3.17% (ICE LIBOR USD 3 Month+.53%), 04/17/21 (c)   999,409 
 3,450,000   3.19% (ICE LIBOR USD 3 Month+.60%), 10/05/21 (c)   3,458,270 
 1,675,000   3.49% (ICE LIBOR USD 3 Month+.75%), 07/03/23 (c)   1,656,063 
 363,000   American Express Credit Corp.
3.83% (ICE LIBOR USD 3 Month+1.05%), 08/14/20 (c)
   366,850 
     American Honda Finance Corp.     
 350,000   2.80% (ICE LIBOR USD 3 Month+.15%), 02/21/20   350,177 
 350,000   2.95% (ICE LIBOR USD 3 Month+.34%), 02/14/20   350,585 
 450,000   3.05% (ICE LIBOR USD 3 Month+.26%), 06/16/20   449,907 
 730,000   Anheuser-Busch InBev Finance, Inc.
4.00% (ICE LIBOR USD 3 Month+1.26%), 02/01/21
   733,697 
 1,771,000   Anheuser-Busch InBev Worldwide, Inc.
3.54% (ICE LIBOR USD 3 Month+.74%), 01/12/24
   1,727,776 
     Apple, Inc.     
 350,000   2.68% (ICE LIBOR USD 3 Month+.07%), 05/11/20   349,991 
 350,000   2.79% (ICE LIBOR USD 3 Month+.20%), 02/07/20   350,565 
 350,000   2.85% (ICE LIBOR USD 3 Month+.25%), 02/07/20   350,577 
 335,000   2.92% (ICE LIBOR USD 3 Month+.30%), 05/06/20   335,761 
 2,558,000   2.96% (ICE LIBOR USD 3 Month+.35%), 05/11/22   2,562,823 
 3,422,000   3.10% (ICE LIBOR USD 3 Month+.50%), 02/09/22   3,443,243 
 660,000   3.81% (ICE LIBOR USD 3 Month+1.13%), 02/23/21   672,898 
     AT&T, Inc.     
 525,000   3.44% (ICE LIBOR USD 3 Month+.65%), 01/15/20   527,154 
 1,875,000   3.49% (ICE LIBOR USD 3 Month+.75%), 06/01/21   1,875,124 
 331,000   3.73% (ICE LIBOR USD 3 Month+.93%), 06/30/20   333,802 
 1,875,000   3.74% (ICE LIBOR USD 3 Month+.95%), 07/15/21   1,883,315 
 12,500,000   3.96% (ICE LIBOR USD 3 Month+1.18%), 06/12/24   12,384,828 
 2,040,000   Athene Global Funding 144A
4.04% (ICE LIBOR USD 3 Month+1.23%), 07/01/22
   2,041,952 
 180,000   Aviation Capital Group LLC 144A
3.69% (ICE LIBOR USD 3 Month+.95%), 06/01/21
   179,091 
     Bank of America Corp.     
 1,750,000   3.15% (ICE LIBOR USD 3 Month+.38%), 01/23/21 (c)   1,736,554 
 5,125,000   3.35% (ICE LIBOR USD 3 Month+.77%), 02/05/25 (c)   4,955,521 
 1,300,000   3.42% (ICE LIBOR USD 3 Month+.66%), 07/21/20 (c)   1,304,972 
 775,000   3.45% (ICE LIBOR USD 3 Month+.65%), 10/01/20 (c)   777,541 
 1,975,000   3.47% (ICE LIBOR USD 3 Month+.65%), 06/25/21 (c)   1,976,093 
 5,125,000   3.54% (ICE LIBOR USD 3 Month+.79%), 03/05/23 (c)   5,077,274 
 1,775,000   3.73% (ICE LIBOR USD 3 Month+.96%), 07/23/23 (c)   1,769,527 
 5,125,000   3.78% (ICE LIBOR USD 3 Month+1.00%), 04/24/22 (c)   5,139,275 
 2,538,000   3.92% (ICE LIBOR USD 3 Month+1.16%), 01/20/22 (c)   2,559,064 
 1,750,000   3.94% (ICE LIBOR USD 3 Month+1.18%), 10/21/21 (c)   1,771,052 
 675,000   4.18% (ICE LIBOR USD 3 Month+1.42%), 04/19/21   690,533 
 1,225,000   Bank of America NA
2.96% (ICE LIBOR USD 3 Month+.25%), 08/28/19 (c)
   1,225,350 
 1,037,000   Bank of New York Mellon     
     3.04% (ICE LIBOR USD 3 Month+.30%), 12/04/19 (c)   1,038,149 
     BAT Capital Corp.     
 775,000   3.20% (ICE LIBOR USD 3 Month+.59%), 08/14/20   767,837 
 2,650,000   3.50% (ICE LIBOR USD 3 Month+.88%), 07/15/22 (c)   2,604,837 
     Bayer US Finance II LLC 144A     
 1,700,000   3.45% (ICE LIBOR USD 3 Month+.63%), 05/25/21 (c)   1,682,685 
 4,245,000   3.80% (ICE LIBOR USD 3 Month+1.01%), 11/15/23 (c)   4,149,534 
 565,000   BB&T Corp.
3.36% (ICE LIBOR USD 3 Month+.57%), 06/15/20
   567,147 
     BMW US Capital LLC 144A     
 600,000   2.98% (ICE LIBOR USD 3 Month+.37%), 08/14/20   597,488 
 925,000   3.12% (ICE LIBOR USD 3 Month+.50%), 08/13/21   920,891 
 600,000   3.18% (ICE LIBOR USD 3 Month+.38%), 04/06/20   599,605 
 900,000   3.21% (ICE LIBOR USD 3 Month+.41%), 04/12/21   895,485 
 499,000   Branch Banking & Trust Co.
3.24% (ICE LIBOR USD 3 Month+.45%), 12/15/19 (c)
   500,308 
 442,000   Campbell Soup Co.
3.29% (ICE LIBOR USD 3 Month+.50%), 03/16/20
   439,695 
 315,000   Capital One Financial Corp.
3.38% (ICE LIBOR USD 3 Month+.76%), 04/12/20 (c)
   316,128 
 1,665,000   Capital One NA
3.90% (ICE LIBOR USD 3 Month+1.15%), 01/30/22 (c)
   1,662,303 
     Caterpillar Financial Services Corp.     
 400,000   2.80% (ICE LIBOR USD 3 Month+.18%), 05/15/20   400,024 
 1,525,000   3.02% (ICE LIBOR USD 3 Month+.23%), 03/15/21   1,517,094 
 416,000   3.29% (ICE LIBOR USD 3 Month+.51%), 01/10/20   417,558 
 400,000   Cisco Systems, Inc.
3.13% (ICE LIBOR USD 3 Month+.34%), 09/20/19
   400,840 
     Citibank NA     
 1,575,000   2.97% (ICE LIBOR USD 3 Month+.35%), 01/12/21 (c)   1,575,063 
 1,125,000   3.06% (ICE LIBOR USD 3 Month+.32%), 04/01/20 (c)   1,124,929 
 800,000   3.06% (ICE LIBOR USD 3 Month+.26%), 09/18/19   801,142 
 850,000   3.06% (ICE LIBOR USD 3 Month+.30%), 10/20/20   849,593 
 415,000   3.28% (ICE LIBOR USD 3 Month+.50%), 06/12/20   415,511 
 800,000   3.34% (ICE LIBOR USD 3 Month+.57%), 06/23/21 (c)   799,979 
     Citigroup, Inc.     
 1,780,000   3.24% (ICE LIBOR USD 3 Month+.55%), 08/25/36   1,355,340 
 800,000   3.57% (ICE LIBOR USD 3 Month+.79%), 12/10/19 (c)   803,861 
 2,575,000   3.73% (ICE LIBOR USD 3 Month+.95%), 07/24/22 (c)   2,563,895 
 3,863,000   3.73% (ICE LIBOR USD 3 Month+.96%), 03/25/22 (c)   3,879,693 
 5,063,000   3.74% (ICE LIBOR USD 3 Month+1.10%), 05/17/23 (c)   5,062,039 
 3,325,000   3.76% (ICE LIBOR USD 3 Month+1.02%), 06/01/23 (c)   3,303,871 
 2,520,000   3.84% (ICE LIBOR USD 3 Month+1.07%), 11/08/21 (c)   2,549,982 
 972,000   3.93% (ICE LIBOR USD 3 Month+1.19%), 08/02/21   985,425 
 2,175,000   4.05% (ICE LIBOR USD 3 Month+1.25%), 07/01/25 (c)   2,178,921 
 6,705,000   4.17% (ICE LIBOR USD 3 Month+1.43%), 09/01/22 (c)   6,804,479 
 1,250,000   4.18% (ICE LIBOR USD 3 Month+1.38%), 03/30/21   1,272,995 
     Comcast Corp.     
 1,600,000   3.13% (ICE LIBOR USD 3 Month+.33%), 10/01/20   1,602,103 
 1,257,000   3.24% (ICE LIBOR USD 3 Month+.44%), 10/01/21   1,258,472 
 1,750,000   3.42% (ICE LIBOR USD 3 Month+.63%), 04/15/24   1,726,570 
     Conagra Brands, Inc.     
 531,000   3.30% (ICE LIBOR USD 3 Month+.50%), 10/09/20   526,742 
 650,000   3.51% (ICE LIBOR USD 3 Month+.75%), 10/22/19 (c)   646,936 
 1,800,000   ConocoPhillips Co.
3.52% (ICE LIBOR USD 3 Month+.90%), 05/15/22
   1,819,969 
 1,000,000   Consolidated Edison Co of New York, Inc.
3.22% (ICE LIBOR USD 3 Month+.40%), 06/25/21
   998,505 
 2,350,000   Constellation Brands, Inc.
3.21% (ICE LIBOR USD 3 Month+.70%), 10/30/19 (c)
   2,342,488 
     CVS Health Corp.     
 800,000   3.40% (ICE LIBOR USD 3 Month+.63%), 03/09/20   801,787 
 1,340,000   3.49% (ICE LIBOR USD 3 Month+.72%), 03/09/21   1,341,974 
     Daimler Finance North America LLC 144A     
 1,000,000   3.13% (ICE LIBOR USD 3 Month+.45%), 02/22/21   992,369 
 1,075,000   3.25% (ICE LIBOR USD 3 Month+.67%), 11/05/21   1,071,668 
 1,185,000   3.29% (ICE LIBOR USD 3 Month+.55%), 05/04/21   1,177,830 
 601,000   Dollar Tree, Inc.
3.47% (ICE LIBOR USD 3 Month+.70%), 04/17/19 (c)
   598,855 
 750,000   Dominion Energy Gas Holdings LLC
3.39% (ICE LIBOR USD 3 Month+.60%), 06/15/21
   745,648 
 400,000   Duke Energy Corp. 144A
3.11% (ICE LIBOR USD 3 Month+.50%), 05/14/21
   399,237 
 633,000   EI du Pont de Nemours & Co.
3.27% (ICE LIBOR USD 3 Month+.53%), 05/01/20
   634,904 
 650,000   EQT Corp.
3.57% (ICE LIBOR USD 3 Month+.77%), 02/19/19 (c)
   639,363 
 1,820,000   Exxon Mobil Corp.
3.11% (ICE LIBOR USD 3 Month+.37%), 03/06/22
   1,828,539 
     Ford Motor Credit Co. LLC     
 650,000   3.61% (ICE LIBOR USD 3 Month+.81%), 04/05/21   629,300 
 950,000   3.68% (ICE LIBOR USD 3 Month+.88%), 10/12/21   908,355 
 400,000   3.75% (ICE LIBOR USD 3 Month+.93%), 09/24/20   393,872 
 887,000   3.80% (ICE LIBOR USD 3 Month+1.00%), 01/09/20   883,513 
 2,325,000   3.82% (ICE LIBOR USD 3 Month+1.08%), 08/03/22   2,186,268 
 2,050,000   3.85% (ICE LIBOR USD 3 Month+1.24%), 02/15/23   1,895,718 
     General Dynamics Corp.     
 400,000   2.91% (ICE LIBOR USD 3 Month+.29%), 05/11/20   400,679 
 600,000   3.00% (ICE LIBOR USD 3 Month+.38%), 05/11/21   600,617 
     General Electric Capital Corp.     
 2,132,000   2.96% (ICE LIBOR USD 3 Month+.38%), 05/05/26   1,859,280 
 2,748,000   3.79% (ICE LIBOR USD 3 Month+1.00%), 03/15/23   2,596,679 
 1,181,000   General Mills, Inc.
3.32% (ICE LIBOR USD 3 Month+.54%), 04/16/21
   1,172,282 
 325,000   General Motors Co.
3.39% (ICE LIBOR USD 3 Month+.80%), 08/07/20
   322,635 
     General Motors Financial Co., Inc.     
 650,000   3.65% (ICE LIBOR USD 3 Month+.85%), 04/09/21   641,641 
 1,085,000   3.73% (ICE LIBOR USD 3 Month+.93%), 04/13/20   1,081,141 
 1,750,000   4.11% (ICE LIBOR USD 3 Month+1.31%), 06/30/22   1,710,203 
 1,740,000   4.35% (ICE LIBOR USD 3 Month+1.55%), 01/14/22   1,717,035 
 456,000   Gilead Sciences, Inc.
3.04% (ICE LIBOR USD 3 Month+.25%), 09/20/19
   456,021 
     Goldman Sachs Group, Inc.     
 8,764,000   3.43% (ICE LIBOR USD 3 Month+.75%), 02/23/23   8,669,353 
 3,892,000   3.52% (ICE LIBOR USD 3 Month+.78%), 10/31/21 (c)   3,858,676 
 1,000,000   3.55% (ICE LIBOR USD 3 Month+.73%), 12/27/19 (c)   1,001,935 
 620,000   3.58% (ICE LIBOR USD 3 Month+.80%), 12/13/19   621,546 
 2,507,000   3.78% (ICE LIBOR USD 3 Month+1.00%), 07/24/22 (c)   2,488,203 
 4,175,000   3.79% (ICE LIBOR USD 3 Month+1.17%), 11/15/20 (c)   4,204,689 
 5,083,000   3.79% (ICE LIBOR USD 3 Month+1.17%), 05/15/25 (c)   4,969,785 
 250,000   3.79% (ICE LIBOR USD 3 Month+1.02%), 10/23/19   250,990 
 2,486,000   3.80% (ICE LIBOR USD 3 Month+1.05%), 06/05/22 (c)   2,474,758 
 5,665,000   3.87% (ICE LIBOR USD 3 Month+1.11%), 04/26/21 (c)   5,688,044 
 950,000   3.93% (ICE LIBOR USD 3 Month+1.16%), 03/23/20 (c)   956,419 
 850,000   3.99% (ICE LIBOR USD 3 Month+1.20%), 08/15/20 (c)   858,514 
 1,300,000   4.13% (ICE LIBOR USD 3 Month+1.36%), 03/23/21 (c)   1,320,933 
 6,169,000   4.31% (ICE LIBOR USD 3 Month+1.60%), 11/29/23 †   6,277,585 
 670,000   4.46% (ICE LIBOR USD 3 Month+1.77%), 02/25/21   686,300 
 3,395,000   4.51% (ICE LIBOR USD 3 Month+1.75%), 10/28/26 (c)   3,409,820 
     Halfmoon Parent, Inc. 144A     
 775,000   3.14% (ICE LIBOR USD 3 Month+.35%), 03/17/20   773,784 
 1,075,000   3.44% (ICE LIBOR USD 3 Month+.65%), 09/17/19 (c)   1,068,899 
 2,500,000   3.68% (ICE LIBOR USD 3 Month+.89%), 06/15/23 (c)   2,469,238 
 1,810,000   Hartford Financial Services Group, Inc. 144A
4.74% (ICE LIBOR USD 3 Month+2.12%), 03/04/19 (c)
   1,550,220 
 1,150,000   Hewlett Packard Enterprise Co.
3.52% (ICE LIBOR USD 3 Month+.72%), 09/20/19 (c)
   1,142,187 
 390,000   Home Depot, Inc.
2.90% (ICE LIBOR USD 3 Month+.15%), 06/05/20
   389,978 
 800,000   Hyundai Capital America 144A
3.74% (ICE LIBOR USD 3 Month+.94%), 07/08/21
   795,444 
     IBM Credit LLC     
 484,000   2.89% (ICE LIBOR USD 3 Month+.15%), 09/06/19   483,955 
 750,000   3.02% (ICE LIBOR USD 3 Month+.26%), 01/20/21   749,045 
 900,000   3.18% (ICE LIBOR USD 3 Month+.47%), 11/30/20   903,037 
     Intel Corp.     
 575,000   2.70% (ICE LIBOR USD 3 Month+.08%), 05/11/20   575,107 
 2,725,000   2.97% (ICE LIBOR USD 3 Month+.35%), 05/11/22   2,727,139 
     International Business Machines Corp.     
 350,000   2.99% (ICE LIBOR USD 3 Month+.23%), 01/27/20   350,322 
 3,835,000   3.17% (ICE LIBOR USD 3 Month+.58%), 11/06/21 †   3,829,576 
     Jackson National Life Global Funding 144A     
 700,000   3.09% (ICE LIBOR USD 3 Month+.30%), 10/15/20   697,879 
 950,000   3.25% (ICE LIBOR USD 3 Month+.48%), 06/11/21   947,323 
     John Deere Capital Corp.     
 500,000   2.98% (ICE LIBOR USD 3 Month+.18%), 01/07/20   500,432 
 842,000   3.02% (ICE LIBOR USD 3 Month+.24%), 03/12/21   841,078 
     JPMorgan Chase & Co.     
 2,125,000   3.32% (ICE LIBOR USD 3 Month+.55%), 03/09/20 (c)   2,128,968 
 2,803,000   3.41% (ICE LIBOR USD 3 Month+.61%), 06/18/21 (c)   2,792,844 
 1,300,000   3.42% (ICE LIBOR USD 3 Month+.68%), 06/01/20 (c)   1,303,628 
 1,675,000   3.50% (ICE LIBOR USD 3 Month+.73%), 04/23/23 (c)   1,655,611 
 2,090,000   3.62% (ICE LIBOR USD 3 Month+1.00%), 03/04/19 (c)   1,642,792 
 1,800,000   3.63% (ICE LIBOR USD 3 Month+.85%), 01/10/24 (c)   1,763,140 
 3,385,000   3.66% (ICE LIBOR USD 3 Month+.89%), 07/23/23 (c)   3,365,582 
 4,300,000   3.67% (ICE LIBOR USD 3 Month+.90%), 04/25/22 (c)   4,289,411 
 719,000   3.73% (ICE LIBOR USD 3 Month+.95%), 01/23/20   724,638 
 1,775,000   3.79% (ICE LIBOR USD 3 Month+1.00%), 01/15/22 (c)   1,782,865 
 1,000,000   3.87% (ICE LIBOR USD 3 Month+1.10%), 05/07/21 (c)   1,013,411 
 650,000   3.96% (ICE LIBOR USD 3 Month+1.21%), 09/29/20 (c)   658,443 
 6,713,000   4.01% (ICE LIBOR USD 3 Month+1.23%), 10/24/22 (c)   6,799,521 
 985,000   4.22% (ICE LIBOR USD 3 Month+1.48%), 02/01/21 (c)   1,005,449 
     JPMorgan Chase Bank NA     
 1,293,000   2.87% (ICE LIBOR USD 3 Month+.25%), 02/13/19 (c)   1,293,126 
 950,000   2.97% (ICE LIBOR USD 3 Month+.23%), 09/01/19 (c)   950,377 
 1,350,000   3.03% (ICE LIBOR USD 3 Month+.29%), 02/01/20 (c)   1,348,803 
 1,600,000   3.10% (ICE LIBOR USD 3 Month+.34%), 04/26/20 (c)   1,598,831 
 390,000   3.41% (ICE LIBOR USD 3 Month+.59%), 08/23/19 (c)   390,964 
     Kraft Heinz Foods Co.     
 831,000   3.19% (ICE LIBOR USD 3 Month+.57%), 02/10/21   824,693 
 1,775,000   3.44% (ICE LIBOR USD 3 Month+.82%), 08/10/22   1,748,014 
 600,000   Marriott International, Inc.
3.23% (ICE LIBOR USD 3 Month+.60%), 12/01/20
   598,782 
 750,000   McDonald’s Corp.
3.19% (ICE LIBOR USD 3 Month+.43%), 10/28/21
   746,190 
 400,000   Medtronic, Inc.
3.59% (ICE LIBOR USD 3 Month+.80%), 03/15/20
   402,974 
 513,000   Merck & Co., Inc.
2.99% (ICE LIBOR USD 3 Month+.38%), 02/10/20
   514,779 
     Metropolitan Life Global Funding I 144A     
 840,000   3.02% (ICE LIBOR USD 3 Month+.22%), 09/19/19   840,680 
 1,270,000   3.03% (ICE LIBOR USD 3 Month+.23%), 01/08/21   1,267,599 
     Morgan Stanley     
 2,500,000   3.17% (ICE LIBOR USD 3 Month+.55%), 02/10/20 (c)   2,500,898 
 2,180,000   3.41% (ICE LIBOR USD 3 Month+.80%), 02/14/19 (c)   2,180,009 
 6,272,000   3.69% (ICE LIBOR USD 3 Month+.93%), 07/22/21 (c)   6,286,593 
 6,180,000   3.81% (ICE LIBOR USD 3 Month+1.22%), 05/08/23 (c)   6,205,904 
 428,000   3.90% (ICE LIBOR USD 3 Month+1.14%), 01/27/20   431,181 
 10,335,000   3.94% (ICE LIBOR USD 3 Month+1.18%), 01/20/21 (c)   10,424,449 
 1,279,000   4.16% (ICE LIBOR USD 3 Month+1.40%), 04/21/21   1,301,742 
 8,647,000   4.18% (ICE LIBOR USD 3 Month+1.40%), 10/24/22 (c)   8,761,984 
 1,900,000   NBCUniversal Enterprise, Inc. 144A
3.20% (ICE LIBOR USD 3 Month+.40%), 04/01/21
   1,902,341 
     New York Life Global Funding 144A     
 400,000   2.86% (ICE LIBOR USD 3 Month+.10%), 01/21/20   400,045 
 857,000   2.96% (ICE LIBOR USD 3 Month+.16%), 10/01/20   857,392 
     NextEra Energy Capital Holdings, Inc.     
 675,000   3.05% (ICE LIBOR USD 3 Month+.32%), 09/03/19   673,372 
 500,000   3.11% (ICE LIBOR USD 3 Month+.40%), 08/28/19 (c)   498,008 
     Nissan Motor Acceptance Corp. 144A     
 425,000   3.30% (ICE LIBOR USD 3 Month+.52%), 09/13/19   424,902 
 1,775,000   3.69% (ICE LIBOR USD 3 Month+.89%), 01/13/22   1,753,243 
 585,000   Oracle Corp.
3.31% (ICE LIBOR USD 3 Month+.51%), 10/08/19 †
   587,005 
 650,000   Phillips 66
3.29% (ICE LIBOR USD 3 Month+.60%), 03/01/19 (c)
   648,703 
     PNC Bank NA     
 375,000   3.00% (ICE LIBOR USD 3 Month+.36%), 05/19/20   375,544 
 1,735,000   3.26% (ICE LIBOR USD 3 Month+.50%), 07/27/22   1,727,334 
 1,800,000   QUALCOMM, Inc.
3.48% (ICE LIBOR USD 3 Month+.73%), 01/30/23
   1,785,037 
 625,000   Regions Bank
3.12% (ICE LIBOR USD 3 Month+.50%), 08/13/20 (c)
   619,067 
 390,000   Roche Holdings, Inc. 144A
3.14% (ICE LIBOR USD 3 Month+.34%), 09/30/19
   390,749 
     Sempra Energy     
 1,150,000   3.24% (ICE LIBOR USD 3 Month+.45%), 03/15/21   1,133,206 
 925,000   3.29% (ICE LIBOR USD 3 Month+.50%), 03/04/19 (c)   913,370 
 500,000   Southern Co. 144A
3.10% (ICE LIBOR USD 3 Month+.49%), 02/14/19 (c)
   500,000 
 600,000   Southern Power Co. 144A
3.34% (ICE LIBOR USD 3 Month+.55%), 03/04/19 (c)
   596,568 
 386,000   State Street Corp.
3.54% (ICE LIBOR USD 3 Month+.90%), 08/18/20
   388,525 
 450,000   Synchrony Bank
3.43% (ICE LIBOR USD 3 Month+.62%), 03/30/20
   446,705 
 304,000   TD Ameritrade Holding Corp.
3.17% (ICE LIBOR USD 3 Month+.43%), 10/01/21 (c)
   304,561 
 815,000   The Charles Schwab Corp.
2.97% (ICE LIBOR USD 3 Month+.32%), 04/21/21 (c)
   813,509 
     Toyota Motor Credit Corp.     
 600,000   2.75% (ICE LIBOR USD 3 Month+.14%), 11/14/19   600,145 
 950,000   2.97% (ICE LIBOR USD 3 Month+.17%), 09/18/20   950,062 
 350,000   3.03% (ICE LIBOR USD 3 Month+.24%), 07/15/20   350,270 
 450,000   3.03% (ICE LIBOR USD 3 Month+.26%), 04/17/20   450,653 
 900,000   3.08% (ICE LIBOR USD 3 Month+.28%), 04/13/21   899,547 
 350,000   3.15% (ICE LIBOR USD 3 Month+.37%), 03/12/20   350,866 
 315,000   3.22% (ICE LIBOR USD 3 Month+.44%), 10/18/19   315,886 
 2,107,000   3.25% (ICE LIBOR USD 3 Month+.48%), 09/08/22   2,104,020 
 1,709,000   United Parcel Service, Inc.
3.25% (ICE LIBOR USD 3 Month+.45%), 04/01/23
   1,710,475 
 1,050,000   United Technologies Corp.
3.28% (ICE LIBOR USD 3 Month+.65%), 08/16/19 (c)
   1,050,098 
     US Bank NA     
 453,000   2.90% (ICE LIBOR USD 3 Month+.12%), 12/17/19 (c)   453,297 
 950,000   3.03% (ICE LIBOR USD 3 Month+.25%), 06/24/20 (c)   950,608 
 1,650,000   3.08% (ICE LIBOR USD 3 Month+.32%), 03/26/21 (c)   1,650,199 
     Verizon Communications, Inc.     
 810,000   3.20% (ICE LIBOR USD 3 Month+.55%), 05/22/20   813,011 
 5,998,000   3.72% (ICE LIBOR USD 3 Month+1.10%), 03/15/25 (c)   5,959,537 
 4,440,000   3.79% (ICE LIBOR USD 3 Month+1.00%), 03/16/22   4,486,317 
     Volkswagen Group of America Finance LLC 144A     
 1,500,000   3.39% (ICE LIBOR USD 3 Month+.77%), 11/13/20   1,499,852 
 2,600,000   3.56% (ICE LIBOR USD 3 Month+.94%), 11/12/21   2,597,668 
 675,000   Vulcan Materials Co.
3.39% (ICE LIBOR USD 3 Month+.65%), 03/01/21
   670,966 
 725,000   Wabtec Corp.
3.84% (ICE LIBOR USD 3 Month+1.05%), 09/15/19 (c)
   725,082 
     Walmart, Inc.     
 500,000   2.86% (ICE LIBOR USD 3 Month+.04%), 06/23/20   499,978 
 1,025,000   3.05% (ICE LIBOR USD 3 Month+.23%), 06/23/21   1,027,750 
     Walt Disney Co.     
 381,000   2.94% (ICE LIBOR USD 3 Month+.19%), 06/05/20   381,044 
 1,840,000   3.13% (ICE LIBOR USD 3 Month+.39%), 03/04/22   1,839,970 
     Wells Fargo & Co.     
 350,000   3.43% (ICE LIBOR USD 3 Month+.68%), 01/30/20   351,829 
 6,800,000   3.55% (ICE LIBOR USD 3 Month+.93%), 02/11/21 (c)   6,821,000 
 600,000   3.64% (ICE LIBOR USD 3 Month+.88%), 07/22/20   603,116 
 1,498,000   3.79% (ICE LIBOR USD 3 Month+1.02%), 07/26/21   1,516,624 
 4,275,000   3.89% (ICE LIBOR USD 3 Month+1.11%), 01/24/22 (c)   4,303,077 
 6,675,000   3.97% (ICE LIBOR USD 3 Month+1.23%), 10/31/22 (c)   6,748,677 
 1,569,000   4.08% (ICE LIBOR USD 3 Month+1.34%), 03/04/21   1,596,894 
     Wells Fargo Bank NA     
 800,000   3.02% (ICE LIBOR USD 3 Month+.23%), 01/15/20   800,352 
 775,000   3.10% (ICE LIBOR USD 3 Month+.31%), 01/15/21   773,699 
 1,250,000   3.27% (ICE LIBOR USD 3 Month+.51%), 09/21/21 (c)   1,249,612 
 1,425,000   3.27% (ICE LIBOR USD 3 Month+.50%), 07/23/20 (c)   1,424,591 
 800,000   3.39% (ICE LIBOR USD 3 Month+.65%), 12/06/19   804,240 
        390,481,903 
Total Floating Rate Notes
(Cost: $609,216,563)
   604,087,508 
          
Number
of Shares
         
MONEY MARKET FUND: 0.2%
(Cost: $1,077,160)
     
 1,077,160   Dreyfus Government Cash Management Fund - Institutional Shares   1,077,160 
Total Investments Before Collateral for Securities Loaned: 99.6%
(Cost: $610,293,723)
   605,164,668 
          
Principal
Amount
         
SHORT-TERM INVESTMENTS HELD AS COLLATERAL FOR SECURITIES ON LOAN: 1.0%     
Repurchase Agreements: 1.0%     
$1,509,052   Repurchase agreement dated 1/31/19 with Citigroup Global Markets, Inc., 2.57%, due 2/1/19, proceeds $1,509,160; (collateralized by various U.S. government and agency obligations, 0.00% to 9.50%, due 3/31/19 to 2/1/49, valued at $1,539,233 including accrued interest)   1,509,052 
 1,509,052   Repurchase agreement dated 1/31/19 with Daiwa Capital Markets America, Inc., 2.57%, due 2/1/19, proceeds $1,509,160; (collateralized by various U.S. government and agency obligations, 0.00% to 6.50%, due 2/7/19 to 9/9/49, valued at $1,539,233 including accrued interest)   1,509,052 
 317,271   Repurchase agreement dated 1/31/19 with Deutsche Bank Securities, Inc., 2.56%, due 2/1/19, proceeds $317,294; (collateralized by various U.S. government and agency obligations, 2.63% , due 12/15/21, valued at $323,617 including accrued interest)   317,271 
 1,509,052   Repurchase agreement dated 1/31/19 with Merrill Lynch, Pierce, Fenner & Smith, Inc., 2.57%, due 2/1/19, proceeds $1,509,160; (collateralized by various U.S. government and agency obligations, 2.00% to 10.50%, due 2/15/19 to 1/1/49, valued at $1,539,233 including accrued interest)   1,509,052 
 1,509,052   Repurchase agreement dated 1/31/19 with Mizuho Securities USA, Inc., 2.57%, due 2/1/19, proceeds $1,509,160; (collateralized by various U.S. government and agency obligations, 0.00% to 3.50%, due 4/18/19 to 2/1/48, valued at $1,539,233 including accrued interest)   1,509,052 
Total Short-Term Investments Held As Collateral For Securities On Loan
(Cost: $6,353,479)
   6,353,479 
Total Investments: 100.6%
(Cost: $616,647,202)
   611,518,147 
Liabilities in excess of other assets: (0.6)%   (3,742,476)
NET ASSETS: 100.0%  $607,775,671 

 

Footnotes:

(c) Callable Security - the redemption date shown is when the security may be redeemed by the issuer
Security fully or partially on loan. Total market value of securities on loan is $6,161,488.
144A Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $107,592,663, or 17.7% of net assets.

 

Summary of Investments
by Sector Excluding
Collateral for Securities
Loaned
  % of
Investments
  Value 
Basic Materials   0.1%  $634,904 
Communications   7.0    42,660,945 
Consumer, Cyclical   6.4    38,873,538 
Consumer, Non-cyclical   5.1    30,641,152 
Energy   1.7    10,562,303 
Financial   72.8    440,364,894 
Industrial   2.1    12,693,590 
Technology   3.5    21,198,268 
Utilities   1.1    6,457,914 
Money Market Fund   0.2    1,077,160 
    100.0%  $605,164,668 

 

The summary of inputs used to value the Fund’s investments as of January 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Floating Rate Notes*  $   $604,087,508   $   $604,087,508 
Money Market Fund   1,077,160            1,077,160 
Repurchase Agreements       6,353,479        6,353,479 
Total  $1,077,160   $610,440,987   $   $611,518,147 

 

* See Schedule of Investments for geographic sector breakouts.

 

See Notes to Schedules of Investments

 

VANECK VECTORS J.P. MORGAN EM LOCAL CURRENCY BOND ETF

SCHEDULE OF INVESTMENTS

January 31, 2019 (unaudited)

 

Principal
Amount
      Value 
CORPORATE BONDS: 0.7%     
Colombia: 0.3%     
      Empresas Públicas de Medellín ESP Reg S     
COP 3,596,000,000   7.63%, 06/10/24 (c)  $1,134,029 
  19,762,000,000   8.38%, 02/01/21   6,413,360 
  19,450,000,000   Financiera de Desarrollo Territorial SA Findeter Reg S
7.88%, 05/12/24 (c)
   6,384,746 
          13,932,135 
Germany: 0.0%     
ZAR 20,000,000   Landwirtschaftliche Rentenbank Reg S
8.25%, 05/23/22
   1,537,905 
Ireland: 0.0%     
RUB 134,900,000   RusHydro Via RusHydro Capital Markets DAC Reg S
8.13%, 09/28/22
   2,024,155 
Mexico: 0.1%     
      Petróleos Mexicanos Reg S     
MXN 28,330,000   7.19%, 09/12/24   1,176,183 
  109,600,000   7.65%, 11/24/21   5,375,531 
          6,551,714 
South Africa: 0.3%     
      Eskom Holdings Ltd.     
ZAR 77,330,000   0.00%, 08/18/27 ^   1,816,410 
  11,000,000   7.50%, 09/15/33   634,691 
  25,350,000   7.85%, 04/02/26   1,721,689 
      Transnet Ltd.     
  21,000,000   9.50%, 08/19/25   1,525,532 
  85,800,000   10.80%, 11/06/23   6,835,822 
  5,000,000   13.50%, 04/18/28   443,482 
          12,977,626 
Total Corporate Bonds
(Cost: $51,787,278)
 37,023,535 
GOVERNMENT OBLIGATIONS: 96.6%    
Argentina: 2.8%     
      Argentine Bonos del Tesoro     
ARS 2,742,894,000   15.50%, 10/17/26 †   61,077,730 
  1,610,513,000   16.00%, 10/17/23 †   38,950,682 
  1,984,078,463   18.20%, 10/03/21 †   44,182,594 
          144,211,006 
Brazil: 9.9%     
      Brazil Letras do Tesouro Nacional     
BRL 186,840,000   0.00%, 04/01/20 ^   47,677,898 
  397,480,000   0.00%, 07/01/20 ^   99,705,743 
  186,219,000   0.00%, 07/01/21 ^   43,137,753 
  177,830,000   0.00%, 01/01/22 ^   39,394,900 
  99,680,000   0.00%, 07/01/22 ^   21,129,024 
      Brazil Notas do Tesouro Nacional, Series F     
  220,361,000   10.00%, 01/01/21   63,603,916 
  273,043,000   10.00%, 01/01/23   79,531,373 
  180,065,000   10.00%, 01/01/25   52,624,964 
  159,140,000   10.00%, 01/01/27   46,562,862 
  31,300,000   10.00%, 01/01/29   9,212,560 
      Brazilian Government International Bonds     
  5,560,000   8.50%, 01/05/24 †   1,558,732 
  6,370,000   10.25%, 01/10/28   1,969,799 
  3,360,000   12.50%, 01/05/22   1,040,993 
          507,150,517 
Chile: 3.0%     
      Bonos de la Tesoreria de la Republica de Chile     
CLP 5,380,000,000   4.50%, 02/28/21   8,397,958 
  13,645,000,000   4.50%, 03/01/21   21,301,370 
  19,355,000,000   4.50%, 03/01/26   30,304,214 
  23,870,000,000   5.00%, 03/01/35   38,407,724 
  15,305,000,000   6.00%, 01/01/43   28,026,537 
      Bonos de la Tesoreria de la Republica de Chile 144A Reg S     
  7,540,000,000   4.00%, 03/01/23   11,579,113 
  5,890,000,000   4.70%, 09/01/30   9,234,279 
  260,000,000   Bonos del Banco Central de Chile
4.50%, 06/01/20
   403,389 
  1,988,500,000   Chile Government International Bonds
5.50%, 08/05/20
   3,132,087 
          150,786,671 
Colombia: 4.5%     
      Colombia Government International Bonds     
COP 4,190,000,000   4.38%, 12/21/22 (c)   1,283,318 
  10,005,000,000   7.75%, 04/14/21   3,359,543 
  7,780,000,000   9.85%, 06/28/27   3,078,561 
      Columbian TES     
  90,518,100,000   6.00%, 04/28/28   27,920,653 
  52,262,000,000   6.25%, 11/26/25   16,799,402 
  116,483,900,000   7.00%, 05/04/22   39,218,860 
  73,811,700,000   7.00%, 06/30/32   23,797,417 
  117,297,700,000   7.50%, 08/26/26   40,257,903 
  70,836,100,000   7.75%, 09/18/30   24,391,431 
  89,730,800,000   10.00%, 07/24/24   34,019,328 
  49,276,300,000   11.00%, 07/24/20   17,231,405 
          231,357,821 
Czech Republic: 2.9%     
      Czech Republic Government Bonds     
CZK 221,030,000   0.25%, 02/10/27   8,756,036 
  261,410,000   2.75%, 07/23/29   12,689,325 
      Czech Republic Government Bonds Reg S     
  196,440,000   0.45%, 10/25/23   8,299,859 
  248,340,000   0.95%, 05/15/30   9,975,291 
  279,910,000   1.00%, 06/26/26   11,861,126 
  404,120,000   2.40%, 09/17/25   18,864,527 
  392,770,000   2.50%, 08/25/28   18,782,115 
  312,660,000   3.75%, 09/12/20   14,399,239 
  307,000,000   3.85%, 09/29/21   14,461,912 
  295,360,000   4.70%, 09/12/22   14,593,932 
  312,550,000   5.70%, 05/25/24   16,978,274 
          149,661,636 
Dominican Republic: 2.8%     
DOP 167,000,000     Dominican Republic International Bonds 144A
8.90%, 02/15/23
    3,202,016  
  7,214,650,000     Dominican Republic International Bonds Reg S
8.90%, 02/15/23
    138,331,894  
          141,533,910 
Germany: 0.0%     
TRY 5,850,000   Kreditanstalt fuer Wiederaufbau Reg S
9.25%, 05/22/20
   1,008,805 
Hungary: 3.2%     
      Hungary Government Bonds     
HUF 2,721,470,000   0.50%, 04/21/21   9,756,350 
  1,427,390,000   1.00%, 09/23/20   5,237,158 
  4,427,160,000   1.75%, 10/26/22   16,181,736 
  2,722,470,000   2.50%, 10/27/21 †   10,247,535 
  2,285,420,000   2.75%, 12/22/26   8,305,593 
  3,628,550,000   3.00%, 06/26/24   13,815,150 
  4,725,620,000   3.00%, 10/27/27 †   17,485,422 
  2,607,440,000   3.50%, 06/24/20 †   9,868,305 
  4,842,480,000   5.50%, 06/24/25   20,833,591 
  3,875,700,000   6.00%, 11/24/23 †   16,877,506 
  1,585,500,000   6.75%, 10/22/28 †   7,685,210 
  3,843,180,000   7.00%, 06/24/22 †   16,504,735 
  2,616,790,000   7.50%, 11/12/20   10,678,791 
          163,477,082 
Indonesia: 8.4%     
      Indonesia Treasury Bonds     
IDR 328,460,000,000   5.63%, 05/15/23   21,691,642 
  449,411,000,000   6.13%, 05/15/28   27,934,404 
  363,283,000,000   6.63%, 05/15/33   22,021,879 
  298,757,000,000   7.00%, 05/15/22   20,995,075 
  484,748,000,000   7.00%, 05/15/27   32,143,068 
  195,770,000,000   7.50%, 08/15/32   12,837,664 
  286,490,000,000   7.50%, 05/15/38   18,750,768 
  78,030,000,000   8.13%, 05/15/24   5,675,290 
  278,723,000,000   8.25%, 07/15/21   20,222,254 
  205,534,000,000   8.25%, 06/15/32   14,429,892 
  385,625,000,000   8.25%, 05/15/36   27,033,078 
  565,993,000,000   8.38%, 03/15/24   41,115,255 
  511,287,000,000   8.38%, 09/15/26   36,996,614 
  386,154,000,000   8.38%, 03/15/34   27,470,563 
  277,607,000,000   8.75%, 05/15/31   20,373,821 
  393,122,000,000   9.00%, 03/15/29   29,592,429 
  116,911,000,000   9.50%, 07/15/31   9,054,873 
  131,972,000,000   10.50%, 08/15/30   10,927,962 
  3,550,000,000   11.00%, 11/15/20   270,305 
  108,332,000,000   11.00%, 09/15/25   8,900,304 
  31,425,000,000   12.80%, 06/15/21   2,502,159 
      Perusahaan Penerbit SBSN     
  48,010,000,000   8.25%, 09/15/20   3,500,031 
  80,410,000,000   8.75%, 08/15/23   5,891,675 
  158,690,000,000   8.88%, 11/15/31   11,429,144 
          431,760,149 
Malaysia: 4.0%     
      Malaysia Government Bonds     
MYR 26,935,000   3.23%, 04/15/20   6,554,990 
  43,598,000   3.49%, 03/31/20   10,644,969 
  38,670,000   3.62%, 11/30/21   9,448,046 
  49,340,000   3.66%, 10/15/20   12,075,989 
  46,919,000   3.73%, 06/15/28   11,156,424 
  32,262,000   3.76%, 04/20/23   7,873,669 
  38,911,000   3.80%, 08/17/23   9,480,728 
  59,253,000   3.90%, 11/16/27   14,268,111 
  37,949,000   3.90%, 11/30/26   9,185,557 
  47,393,000   3.95%, 04/14/22   11,640,940 
  57,194,000   3.96%, 09/15/25   13,950,770 
  42,848,000   4.06%, 09/30/24   10,522,354 
  29,365,000   4.09%, 11/30/23   7,244,996 
  40,000,000   4.13%, 08/15/25   9,831,094 
  57,525,000   4.16%, 07/15/21   14,227,789 
  47,862,000   4.18%, 07/15/24   11,829,229 
  5,124,000   4.25%, 05/31/35   1,215,401 
  45,090,000   4.26%, 07/26/27   11,118,186 
  48,138,000   4.37%, 10/31/28   11,937,225 
  45,682,000   4.76%, 04/07/37   11,426,244 
          205,632,711 
Mexico: 8.8%     
      Mexican Bonos     
MXN 405,088,000   5.75%, 03/05/26   18,336,016 
  949,134,000   6.50%, 06/10/21   48,097,038 
  1,017,857,000   6.50%, 06/09/22   50,850,993 
  327,792,000   7.25%, 12/09/21   16,811,316 
  930,730,300   7.50%, 06/03/27   46,201,827 
  488,639,000   7.75%, 05/29/31   24,035,649 
  319,812,000   7.75%, 11/23/34   15,460,794 
  708,206,800   7.75%, 11/13/42   33,430,584 
  726,294,900   8.00%, 06/11/20   38,064,712 
  755,480,000   8.00%, 12/07/23   39,388,625 
  330,473,000   8.00%, 11/07/47   15,949,142 
  297,259,000   8.50%, 05/31/29   15,611,360 
  472,839,900   8.50%, 11/18/38   24,249,748 
  816,366,200   10.00%, 12/05/24   46,337,655 
  305,967,000   10.00%, 11/20/36   17,919,448 
          450,744,907 
Peru: 2.9%     
      Peru Government Bonds     
PEN 60,248,000   5.70%, 08/12/24   18,833,233 
  76,435,000   6.35%, 08/12/28   24,246,992 
  59,593,000   6.90%, 08/12/37   19,270,570 
  76,027,000   6.95%, 08/12/31   24,883,362 
  67,300,000   8.20%, 08/12/26   23,816,193 
      Peru Government Bonds 144A Reg S     
  55,380,000   5.94%, 02/12/29   17,035,776 
  65,410,000   6.15%, 08/12/32   20,007,973 
          148,094,099 
Philippines: 3.0%     
      Philippine Government International Bonds     
PHP 1,911,500,000   3.90%, 11/26/22   35,340,557 
  2,663,500,000   4.95%, 01/15/21   51,243,215 
  3,259,500,000   6.25%, 01/14/36   64,733,382 
          151,317,154 
Poland: 8.1%     
PLN 36,255,000   Republic of Poland Government Bond     
  55,464,000   0.00%, 07/25/20 ^   14,626,686 
  118,451,000   1.50%, 04/25/20   31,980,255 
  130,828,000   1.75%, 07/25/21   35,464,987 
  106,401,000   2.00%, 04/25/21 †   29,018,064 
  119,541,000   2.25%, 04/25/22   32,624,185 
  120,116,000   2.50%, 01/25/23   33,049,148 
  36,255,000   2.50%, 04/25/24 †   9,896,380 
  133,819,000   2.50%, 07/25/26   35,871,845 
  135,838,000   2.50%, 07/25/27   36,222,857 
  116,812,000   2.75%, 04/25/28   31,553,851 
  120,721,000   3.25%, 07/25/25   34,194,179 
  116,032,000   4.00%, 10/25/23   34,020,827 
  55,643,000   5.25%, 10/25/20   15,972,275 
  62,032,000   5.75%, 10/25/21   18,566,087 
  75,584,000   5.75%, 09/23/22   23,135,280 
          416,196,906 
Romania: 2.9%     
      Romania Government Bonds     
RON 56,545,000   3.25%, 03/22/21   13,570,362 
  59,260,000   3.25%, 04/29/24   13,500,442 
  56,440,000   3.40%, 03/08/22   13,364,387 
  55,830,000   3.50%, 12/19/22   13,183,722 
  39,350,000   4.00%, 10/27/21   9,500,997 
  44,760,000   4.25%, 06/28/23   10,753,540 
  57,935,000   4.75%, 02/24/25   14,127,245 
  57,160,000   5.75%, 04/29/20   14,241,739 
  60,550,000   5.80%, 07/26/27 †   15,739,584 
  57,130,000   5.85%, 04/26/23   14,542,697 
  56,680,000   5.95%, 06/11/21   14,332,093 
          146,856,808 
Russia: 5.1%     
      Russian Federal Bonds     
RUB 813,952,000   6.40%, 05/27/20   12,239,835 
  907,598,000   6.50%, 02/28/24   13,080,019 
  453,853,000   6.90%, 05/23/29   6,394,884 
  1,204,619,000   7.00%, 12/15/21   18,093,532 
  589,485,000   7.00%, 01/25/23   8,758,046 
  1,034,180,000   7.00%, 08/16/23   15,288,866 
  1,420,081,000   7.05%, 01/19/28   20,413,279 
  1,429,782,000   7.10%, 10/16/24   21,075,369 
  461,398,000   7.25%, 05/10/34   6,511,588 
  1,331,189,000   7.40%, 12/07/22   20,117,017 
  1,118,164,000   7.50%, 08/18/21   17,015,855 
  543,153,000   7.60%, 04/14/21   8,285,889 
  589,825,000   7.60%, 07/20/22   8,965,495 
  1,521,344,000   7.70%, 03/23/33   22,537,122 
  1,476,878,000   7.75%, 09/16/26   22,375,067 
  1,488,804,000   8.15%, 02/03/27   23,021,406 
  993,959,000   8.50%, 09/17/31   15,703,641 
          259,876,910 
South Africa: 7.8%     
      Republic of South Africa Government Bonds     
ZAR 403,131,000   6.25%, 03/31/36   22,278,198 
  374,785,000   6.50%, 02/28/41   20,306,738 
  24,009,000   6.75%, 03/31/21 †   1,803,660 
  458,098,000   7.00%, 02/28/31   29,037,614 
  228,380,000   7.75%, 02/28/23   17,222,296 
  531,209,000   8.00%, 01/31/30   37,060,655 
  409,499,000   8.25%, 03/31/32   28,339,275 
  521,571,000   8.50%, 01/31/37   35,847,217 
  568,017,000   8.75%, 01/31/44   39,246,593 
  892,669,000   8.75%, 02/28/48   61,659,413 
  338,377,000   8.88%, 02/28/35   24,274,661 
  334,892,000   9.00%, 01/31/40   23,900,740 
  676,576,000   10.50%, 12/21/26   56,430,619 
          397,407,679 
Supranational: 3.4%     
      European Bank for Reconstruction & Development     
IDR 37,700,000,000   6.25%, 07/25/22   2,570,057 
  29,900,000,000   6.45%, 12/13/22   2,028,954 
  73,800,000,000   8.30%, 10/02/20   5,306,285 
  113,130,000,000   9.25%, 12/02/20   8,289,561 
RUB 14,000,000   European Bank for Reconstruction & Development Reg S
6.00%, 07/24/23
   205,600 
      European Investment Bank     
BRL 6,170,000   0.00%, 08/27/21 ^   1,444,703 
PLN 33,700,000   4.25%, 10/25/22   9,730,363 
ZAR 5,200,000   7.25%, 02/28/23 †   392,620 
MXN 9,120,000   7.63%, 01/12/22   471,600 
ZAR 206,265,000   8.13%, 12/21/26   15,619,250 
  72,600,000   8.25%, 09/13/21   5,578,219 
  81,000,000   9.00%, 03/31/21   6,316,901 
TRY 3,650,000   10.75%, 11/15/19   660,824 
IDR 42,500,000,000     European Investment Bank 144A
5.75%, 01/24/25
    2,767,420    
      European Investment Bank Reg S     
PLN 22,860,000   2.75%, 08/25/26   6,210,147 
  30,930,000   3.00%, 05/24/24   8,643,184 
MXN 63,480,000   4.00%, 02/25/20   3,185,968 
  169,540,000   4.75%, 01/19/21   8,341,012 
IDR 101,800,000,000   5.20%, 03/01/22   6,748,074 
ZAR 17,500,000   8.00%, 05/05/27   1,294,499 
  24,900,000   8.50%, 09/17/24   1,927,132 
TRY 30,020,000   8.75%, 09/18/21   5,016,789 
  1,700,000   9.25%, 10/03/24   285,273 
      Inter-American Development Bank     
IDR 136,680,000,000   6.25%, 06/15/21   9,417,308 
MXN 129,870,000   7.50%, 12/05/24   6,627,869 
IDR 27,590,000,000   7.88%, 03/14/23   1,991,191 
  52,500,000   Inter-American Development Bank Reg S
7.70%, 02/12/24
   2,701,667 
      International Bank for Reconstruction & Development     
PLN 14,300,000   1.50%, 07/31/20   3,861,017 
  21,260,000   1.50%, 10/30/20   5,726,143 
  5,200,000   1.63%, 12/30/21   1,402,312 
RUB 220,000,000   7.25%, 11/23/20   3,394,009 
IDR 39,944,800,000   7.45%, 08/20/21   2,841,948 
MXN 51,908,000   7.50%, 03/05/20   2,699,301 
COP 11,600,000,000   8.00%, 03/02/20   3,862,708 
  36,500,000   International Bank for Reconstruction & Development Reg S
7.13%, 02/09/21
   1,873,506 
      International Finance Corp.     
RUB 130,000,000   5.25%, 03/22/22   1,884,925 
MXN 145,500,000   7.00%, 07/20/27   6,893,343 
  84,600,000   7.50%, 01/18/28   4,117,238 
  106,780,000   7.75%, 01/18/30   5,251,388 
ZAR 3,000,000   8.00%, 07/27/27   220,294 
      International Finance Corp. Reg S     
RUB 206,600,000   6.25%, 06/07/21   3,088,856 
MXN 41,900,000   8.38%, 05/31/29   2,164,555 
          173,054,013 
Thailand: 7.0%     
      Thailand Government Bonds     
THB 854,102,000   1.88%, 06/17/22   27,282,029 
  831,451,000   2.00%, 12/17/22   26,651,940 
  935,314,000   2.13%, 12/17/26   29,491,288 
  364,352,000   2.40%, 12/17/23   11,828,539 
  520,918,000   2.55%, 06/26/20   16,849,715 
  348,186,000   2.88%, 12/17/28   11,622,999 
  623,494,000   2.88%, 06/17/46   18,826,236 
  785,235,000   3.40%, 06/17/36   26,543,444 
  3,753,000   3.58%, 12/17/27   131,925 
  824,571,000   3.63%, 06/16/23   28,155,685 
  1,264,668,000   3.65%, 12/17/21   42,532,190 
  788,799,000   3.65%, 06/20/31   27,861,641 
  720,201,000   3.78%, 06/25/32   25,623,665 
  846,408,000   3.85%, 12/12/25   29,828,835 
  824,000   4.75%, 12/20/24   30,102 
  938,937,000   4.88%, 06/22/29   36,439,922 
          359,700,155 
Turkey: 3.2%     
      Turkey Government International Bonds     
TRY 67,191,000   7.10%, 03/08/23   9,917,874 
  59,941,000   8.00%, 03/12/25   8,685,591 
  41,560,000   8.50%, 09/14/22   6,596,252 
  50,162,000   8.80%, 09/27/23   7,753,164 
  50,029,000   9.00%, 07/24/24   7,720,041 
  31,259,000   9.20%, 09/22/21   5,151,554 
  54,200,000   9.40%, 07/08/20   9,393,033 
  40,232,000   9.50%, 01/12/22   6,622,551 
  28,892,000   10.40%, 03/20/24   4,711,229 
  74,792,000   10.50%, 08/11/27   12,116,365 
  81,710,000   10.60%, 02/11/26   13,465,992 
  60,177,000   10.70%, 02/17/21   10,399,800 
  65,444,000   10.70%, 08/17/22   11,025,555 
  64,682,000   11.00%, 03/02/22   11,097,126 
  64,401,000   11.00%, 02/24/27   10,725,412 
  62,446,000   12.20%, 01/18/23   10,948,771 
  42,570,000   12.40%, 03/08/28   7,632,481 
  41,605,000   16.20%, 06/14/23   8,375,821 
          162,338,612 
Uruguay: 2.9%     
      Uruguay Government International Bonds 144A     
UYU 981,609,000   8.50%, 03/15/28   26,559,091 
  290,788,000   9.88%, 06/20/22   8,975,114 
      Uruguay Government International Bonds Reg S     
  1,435,920,000   8.50%, 03/15/28   38,851,243 
  2,402,300,000   9.88%, 06/20/22   74,146,515 
          148,531,963 
Total Government Obligations
(Cost: $5,124,721,298)
   4,940,699,514 
            
Number
of Shares
         
MONEY MARKET FUND: 0.0%
(Cost: $709,399)
     
  709,399   Dreyfus Government Cash Management Fund - Institutional Shares   709,399 
Total Investments Before Collateral for Securities Loaned: 97.3%
(Cost: $5,177,217,975)
   4,978,432,448 

 

Principal
Amount
        
SHORT-TERM INVESTMENTS HELD AS COLLATERAL FOR SECURITIES ON LOAN: 1.4%     
Repurchase Agreements: 1.4%     
USD 16,964,313   Repurchase agreement dated 1/31/19 with Citigroup Global Markets, Inc., 2.57%, due 2/1/19, proceeds $16,965,524; (collateralized by various U.S. government and agency obligations, 0.00% to 9.50%, due 3/31/19 to 2/1/49, valued at $17,303,599 including accrued interest)   16,964,313 
  11,457,178   Repurchase agreement dated 1/31/19 with Credit Agricole CIB, 2.57%, due 2/1/19, proceeds $11,457,996; (collateralized by various U.S. government and agency obligations, 0.25% to 2.88%, due 9/30/20 to 5/15/28, valued at $11,686,322 including accrued interest)   11,457,178 
  16,964,313   Repurchase agreement dated 1/31/19 with Daiwa Capital Markets America, Inc., 2.57%, due 2/1/19, proceeds $16,965,524; (collateralized by various U.S. government and agency obligations, 0.00% to 6.50%, due 2/7/19 to 9/9/49, valued at $17,303,600 including accrued interest)   16,964,313 
  16,964,313   Repurchase agreement dated 1/31/19 with Merrill Lynch, Pierce, Fenner & Smith, Inc., 2.57%, due 2/1/19, proceeds $16,965,524; (collateralized by various U.S. government and agency obligations, 2.00% to 10.50%, due 2/15/19 to 1/1/49, valued at $17,303,599 including accrued interest)   16,964,313 
  8,881,671   Repurchase agreement dated 1/31/19 with Mizuho Securities USA, Inc., 2.57%, due 2/1/19, proceeds $8,882,305; (collateralized by various U.S. government and agency obligations, 0.00% to 3.50%, due 4/18/19 to 2/1/48, valued at $9,059,306 including accrued interest)   8,881,671 
Total Short-Term Investments Held As Collateral For Securities On Loan
(Cost: $71,231,788)
   71,231,788 
Total Investments: 98.7%
(Cost: $5,248,455,370)
   5,049,664,236 
Other assets less liabilities: 1.3%   67,085,142 
NET ASSETS: 100.0%  $5,116,749,378 

 

Definitions:

ARS Argentine Peso
BRL Brazilian Real
CLP Chilean Peso
COP Colombian Peso
CZK Czech Koruna
DOP Dominican Peso
HUF Hungarian Forint
IDR Indonesian Rupiah
MXN Mexican Peso
MYR Malaysian Ringgit
PEN Peruvian Nuevo Sol
PHP Philippine Peso
PLN Polish Zloty
RON Romanian Leu
RUB Russian Ruble
THB Thai Baht
TRY Turkish Lira
UYU Uruguayan Peso
ZAR South African Rand

 

Footnotes:

(c) Callable Security - the redemption date shown is when the security may be redeemed by the issuer
^ Zero Coupon Bond
Security fully or partially on loan. Total market value of securities on loan is $64,721,793.
Reg S Security was purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such a security cannot be sold in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration.
144A Security exempt from registration under Rule 144A of the Securities Act of 1933, as amended, or otherwise restricted. These securities may be resold in transactions exempt from registration, unless otherwise noted, and the value amounted to $99,360,782, or 1.9% of net assets.

 

Summary of Investments
by Sector Excluding
Collateral for Securities
Loaned
  % of
Investments
  Value 
Energy       0.1%        $6,551,714 
Financial  0.2    7,922,651 
Government  99.2    4,940,699,514 
Industrial  0.2    8,804,836 
Utilities  0.3    13,744,334 
Money Market Fund  0.0    709,399 
     100.0%  $4,978,432,448 

 

The summary of inputs used to value the Fund’s investments as of January 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Corporate Bonds*  $   $37,023,535   $   $37,023,535 
Government Obligations*       4,940,699,514        4,940,699,514 
Money Market Funds   709,399            709,399 
Repurchase Agreements       71,231,788        71,231,788 
Total  $709,399   $5,048,954,837   $   $5,049,664,236 

 

* See Schedule of Investments for geographic sector breakouts.

 

See Notes to Schedules of Investments

 

VANECK VECTORS MORTGAGE REIT INCOME ETF

SCHEDULE OF INVESTMENTS

January 31, 2019 (unaudited)

 

Number
 of Shares
      Value 
COMMON STOCKS: 100.3%     
United States: 100.3%     
 118,658   AG Mortgage Investment Trust, Inc.  $2,138,217 
 830,344   AGNC Investment Corp.   14,871,461 
 2,066,273   Annaly Capital Management, Inc.   21,571,890 
 411,970   Anworth Mortgage Asset Corp.   1,841,506 
 373,286   Apollo Commercial Real Estate Finance, Inc.   6,793,805 
 373,977   Arbor Realty Trust, Inc.   4,472,765 
 179,492   ARMOUR Residential REIT, Inc.   3,772,922 
 222,675   Blackstone Mortgage Trust, Inc.   7,680,061 
 339,858   Capstead Mortgage Corp.   2,504,753 
 411,682   Chimera Investment Corp.   7,834,308 
 405,584   Colony Credit Real Estate, Inc. †   6,777,309 
 313,002   Dynex Capital, Inc.   1,884,272 
 167,272   Granite Point Mortgage Trust, Inc.   3,265,149 
 260,858   Hannon Armstrong Sustainable Infrastructure Capital, Inc.   5,892,782 
 448,280   Invesco Mortgage Capital, Inc.   7,217,308 
 163,086   iStar Financial, Inc.   1,563,995 
 409,320   Ladder Capital Corp.   7,085,329 
 996,314   MFA Financial, Inc.   7,302,982 
 581,402   New Residential Investment Corp.   9,872,206 
 763,817   New York Mortgage Trust, Inc.   4,796,771 
 238,018   PennyMac Mortgage Investment Trust   4,817,484 
 236,045   Redwood Trust, Inc.   3,807,406 
 433,083   Starwood Property Trust, Inc.   9,562,473 
 547,650   Two Harbors Investment Corp.   7,990,214 
 244,267   Western Asset Mortgage Capital Corp.   2,335,193 
Total Common Stocks
(Cost: $157,961,097)
   157,652,561 
MONEY MARKET FUND: 0.7%
(Cost: $1,079,700)
     
 1,079,700   Dreyfus Government Cash Management Fund - Institutional Shares   1,079,700 
Total Investments Before Collateral for Securities Loaned: 101.0%
(Cost: $159,040,797)
   158,732,261 
          
Principal
Amount
         
SHORT-TERM INVESTMENT HELD AS COLLATERAL FOR SECURITIES ON LOAN: 0.1%
(Cost: $133,941)
     
Repurchase Agreement: 0.1%     
$133,941   Repurchase agreement dated 1/31/19 with Deutsche Bank Securities, Inc., 2.56%, due 2/1/19, proceeds $133,951; (collateralized by various U.S. government and agency obligations, 2.63%, due 12/15/21, valued at $136,620 including accrued interest)   133,941 
Total Investments: 101.1%
(Cost: $159,174,738)
   158,866,202 
Liabilities in excess of other assets: (1.1)%   (1,742,147)
NET ASSETS: 100.0%  $157,124,055 

 

Footnotes:

Security fully or partially on loan. Total market value of securities on loan is $130,338.

 

Summary of Investments
by Sector Excluding
Collateral for Securities
Loaned
  % of
Investments
  Value 
Financials   94.6%  $150,195,784 
Real Estate   4.7    7,456,777 
Money Market Fund   0.7    1,079,700 
    100.0%  $158,732,261 

 

The summary of inputs used to value the Fund’s investments as of January 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Common Stocks  $157,652,561   $   $   $157,652,561 
Money Market Fund   1,079,700            1,079,700 
Repurchase Agreement       133,941        133,941 
Total  $158,732,261   $133,941   $   $158,866,202 

 

* See Schedule of Investments for geographic sector breakouts.

 

See Notes to Schedules of Investments

 

VANECK VECTORS PREFERRED SECURITIES EX FINANCIALS ETF

SCHEDULE OF INVESTMENTS

January 31, 2019 (unaudited)

 

Number
of Shares
      Value 
PREFERRED SECURITIES: 99.5%     
Basic Materials: 1.7%     
 169,118   International Flavors & Fragrances, Inc.
6.00%, 09/15/21
  $9,150,975 
Communications: 13.0%     
     AT&T, Inc.     
 542,204   5.35%, 11/01/22 (c)   13,408,705 
 338,237   5.63%, 08/01/23 (c)   8,405,189 
 307,488   eBay, Inc.
6.00%, 03/01/21 (c)
   8,299,101 
     Qwest Corp.     
 317,737   6.13%, 03/04/19 (c)   6,859,942 
 400,759   6.50%, 09/01/21 (c)   8,439,985 
 168,093   6.63%, 09/15/20 (c)   3,647,618 
 270,589   6.75%, 06/15/22 (c)   5,923,193 
 204,992   6.88%, 10/01/19 (c)   4,848,061 
 122,995   United States Cellular Corp.
7.25%, 12/01/20 (c)
   3,099,474 
 204,992   Verizon Communications, Inc.
5.90%, 03/04/19 (c)
   5,340,042 
         68,271,310 
Consumer, Non-cyclical: 10.0%     
 507,354   Becton Dickinson and Co.
6.13%, 05/01/20
   31,202,271 
     CHS, Inc.     
 201,917   6.75% (ICE LIBOR USD 3 Month+4.16%), 09/30/24 (c)   5,118,596 
 172,194   7.10% (ICE LIBOR USD 3 Month+4.30%), 03/31/24 (c) †   4,514,927 
 212,166   7.50%, 01/21/25 (c) †   5,719,995 
 212,828   7.88%, 09/26/23 (c) †   5,857,027 
         52,412,816 
Energy: 4.4%     
 117,870   Algonquin Power & Utilities Corp.
6.88% (ICE LIBOR USD 3 Month+3.68%), 10/17/23 (c)
   3,151,844 
 309,001   Blueknight Energy Partners LP
11.00%,
   1,786,026 
 245,990   Enbridge, Inc.
6.38% (ICE LIBOR USD 3 Month+3.59%), 04/15/23 (c)
   6,198,948 
     Energy Transfer Operating LP     
 184,493   7.38% (ICE LIBOR USD 3 Month+4.53%), 05/15/23 (c)   4,425,987 
 182,443   7.63% (ICE LIBOR USD 3 Month+4.74%), 08/15/23 (c)   4,515,464 
 157,844   NuStar Energy LP
7.63% (ICE LIBOR USD 3 Month+5.64%), 06/15/22 (c)
   3,169,508 
         23,247,777 
Industrial: 2.2%     
 141,444   Seaspan Corp.
6.38%, 04/30/19
   3,562,974 
 307,488   Stanley Black & Decker, Inc.
5.75%, 03/04/19 (c) †
   7,819,420 
         11,382,394 
Real Estate Investment Trusts: 28.6%     
 133,245   AGNC Investment Corp.
7.00% (ICE LIBOR USD 3 Month+5.11%), 10/15/22 (c)
   3,355,109 
 105,885   American Homes 4 Rent
6.50%, 05/24/21 (c)
   2,538,063 
     Annaly Capital Management, Inc.     
 174,243   6.50% (ICE LIBOR USD 3 Month+4.17%), 03/31/23 (c)   4,152,211 
 295,188   6.95% (ICE LIBOR USD 3 Month+4.99%), 09/30/22 (c)   7,453,497 
 188,592   7.50%, 03/04/19 (c)   4,790,237 
 105,670   Capstead Mortgage Corp.
7.50%, 03/04/19 (c)
   2,679,791 
 186,030   CBL & Associates Properties, Inc.
7.38%, 03/04/19 (c) †
   2,723,479 
     Chimera Investment Corp.     
 106,596   7.75% (ICE LIBOR USD 3 Month+4.74%), 09/30/25 (c)   2,645,713 
 133,245   8.00% (ICE LIBOR USD 3 Month+5.79%), 03/30/24 (c)   3,411,072 
     Colony Capital, Inc.     
 117,870   7.13%, 04/13/20 (c) †   2,463,483 
 129,145   7.13%, 09/22/22 (c) †   2,724,959 
 141,444   7.15%, 06/05/22 (c)   2,984,468 
 102,496   8.75%, 05/15/19 (c) †   2,630,047 
     Digital Realty Trust, Inc.     
 102,496   6.35%, 08/24/20 (c)   2,676,171 
 149,644   7.38%, 03/26/19 (c)   3,765,043 
 127,095   Government Properties Income Trust
5.88%, 05/26/21 (c)
   2,960,043 
 117,870   Invesco Mortgage Capital, Inc.
7.50% (ICE LIBOR USD 3 Month+5.29%), 09/27/27 (c)
   2,826,523 
 108,441   Kimco Realty Corp.
5.25%, 12/20/22 (c)
   2,383,533 
     National Retail Properties, Inc.     
 141,444   5.20%, 10/11/21 (c)   3,260,284 
 117,870   5.70%, 03/04/19 (c)   2,955,001 
 165,018   NuStar Logistics LP
9.52% (ICE LIBOR USD 3 Month+6.73%), 03/04/19 (c)
   4,125,450 
     Public Storage     
 143,494   4.90%, 10/14/21 (c) †   3,158,303 
 133,245   4.95%, 07/20/21 (c)   2,998,012 
 122,995   5.05%, 08/09/22 (c)   2,831,345 
 114,795   5.15%, 06/02/22 (c)   2,621,918 
 204,992   5.20%, 03/04/19 (c)   4,821,412 
 202,942   5.38%, 03/04/19 (c) †   4,838,137 
 122,995   5.40%, 01/20/21 (c)   3,029,367 
 117,870   5.63%, 03/04/19 (c) †   2,964,430 
 117,870   6.00%, 06/04/19 (c)   3,029,259 
 116,845   6.38%, 03/17/19 (c)   2,956,178 
 132,009   RLJ Lodging Trust
1.95%, †
   3,368,870 
     Senior Housing Properties Trust     
 143,225   5.63%, 03/04/19 (c)   3,034,938 
 102,496   6.25%, 02/18/21 (c) †   2,595,199 
     Two Harbors Investment Corp.     
 120,946   7.25% (ICE LIBOR USD 3 Month+5.01%), 01/27/25 (c)   2,908,751 
 117,870   7.63% (ICE LIBOR USD 3 Month+5.35%), 07/27/27 (c)   2,932,606 
 439,032   VEREIT, Inc.
6.70%, 03/04/19 (c)
   11,037,264 
     Vornado Realty Trust     
 130,989   5.25%, 12/13/22 (c)   2,976,070 
 122,995   5.40%, 03/04/19 (c)   2,826,425 
 122,995   5.70%, 03/04/19 (c)   3,099,474 
 112,745   Wells Fargo Real Estate Investment Corp.
6.38%, 12/11/19 (c)
   2,932,497 
 147,286   Welltower, Inc.
6.50%,
   10,090,564 
         150,555,196 
Reinsurance: 5.2%     
     Aspen Insurance Holdings Ltd.     
 102,496   5.63%, 01/01/27 (c) †   2,393,282 
 112,745   5.95% (ICE LIBOR USD 3 Month+4.06%), 07/01/23 (c)   2,807,350 
 225,491   Axis Capital Holdings Ltd.
5.50%, 11/07/21 (c)
   5,220,117 
 120,472   PartnerRe Ltd.
7.25%, 04/29/21 (c)
   3,273,224 
     Reinsurance Group of America, Inc.     
 163,993   5.75% (ICE LIBOR USD 3 Month+4.04%), 06/15/26 (c)   4,176,902 
 163,993   6.20% (ICE LIBOR USD 3 Month+4.37%), 09/15/22 (c)   4,304,816 
     RenaissanceRe Holdings Ltd.     
 112,745   5.38%, 03/04/19 (c)   2,648,380 
 102,496   5.75%, 06/30/23 (c)   2,420,956 
         27,245,027 
Technology: 0.8%     
 174,243   Pitney Bowes, Inc.
6.70%, 03/04/19 (c) †
   4,216,681 
Utilities: 33.6%     
 102,496   Alabama Power Co.
5.00%, 10/01/22 (c)
   2,556,250 
 200,379   CenterPoint Energy, Inc.
7.00%, 09/01/21
   10,810,447 
 114,795   CMS Energy Corp.
5.88%, 10/15/23 (c)
   3,046,659 
     Dominion Energy, Inc.     
 327,986   5.25%, 07/30/21 (c)   8,091,415 
 286,989   6.75%, 08/15/19   13,789,821 
     DTE Energy Co.     
 163,993   5.25%, 12/01/22 (c)   4,052,267 
 122,995   5.38%, 06/01/21 (c)   3,099,474 
 114,580   6.00%, 12/15/21 (c)   3,136,055 
 138,369   6.50%, 10/01/19   7,536,959 
     Duke Energy Corp.     
 204,992   5.13%, 03/04/19 (c) †   5,079,702 
 204,992   5.63%, 09/15/23 (c)   5,124,800 
 168,093   Entergy Arkansas, Inc.
 4.88%, 09/01/21 (c)
   4,111,555 
 110,695   Entergy Louisiana LLC
 4.88%, 09/01/21 (c)
   2,729,739 
 106,596   Entergy Mississippi, Inc.
 4.90%, 10/01/21 (c)
   2,616,932 
 110,695   Georgia Power Co.
 5.00%, 10/01/22 (c)
   2,594,691 
     NextEra Energy Capital Holdings, Inc.     
 184,493   5.00%, 03/04/19 (c)   4,291,307 
 204,992   5.13%, 03/04/19 (c)   4,995,655 
 233,691   5.25%, 06/01/21 (c)   5,755,809 
 307,488   6.12%, 09/01/19 †   18,237,113 
 204,608   NiSource, Inc.
 6.50% (US Treasury Yield Curve Rate T 5 Year+3.63%), 03/15/24 (c)
   5,602,167 
 184,493   PPL Capital Funding, Inc.
 5.90%, 03/04/19 (c)
   4,645,534 
 163,993   SCE Trust II
 5.10%, 03/04/19 (c) †
   3,135,546 
 112,991   SCE Trust III
 5.75% (ICE LIBOR USD 3 Month+2.99%), 03/15/24 (c)
   2,343,433 
 133,245   SCE Trust IV
 5.38% (ICE LIBOR USD 3 Month+3.13%), 09/15/25 (c)
   2,638,251 
 122,995   SCE Trust V
 5.45% (ICE LIBOR USD 3 Month+3.79%), 03/15/26 (c)
   2,533,697 
 194,742   SCE Trust VI
 5.00%, 06/26/22 (c)
   3,526,778 
 176,805   Sempra Energy
 6.00%, 01/15/21
   17,738,846 
     Southern Co.     
 327,986   5.25%, 10/01/21 (c)   8,002,858 
 184,493   5.25%, 12/01/22 (c)   4,475,800 
 409,984   6.25%, 10/15/20 (c)   10,737,481 
         177,037,041 
Total Preferred Securities
(Cost: $539,974,463)
   523,519,217 
COMMON STOCKS: 0.0%
(Cost: $12,845)
     
Industrial: 0.0%     
 238   Hess Corp.   12,844 
Total Investments Before Collateral for Securities Loaned: 99.5%
(Cost: $539,987,308)
   523,532,061 
SHORT-TERM INVESTMENTS HELD AS COLLATERAL FOR SECURITIES ON LOAN: 2.0%     
Repurchase Agreements: 2.0%     
$512,140   Repurchase agreement dated 1/31/19 with Barclays Capital, Inc., 2.55%, due 2/1/19, proceeds $512,176; (collateralized by various U.S. government and agency obligations, 0.00% to 3.13%, due 5/15/24 to 2/15/46, valued at $522,383 including accrued interest)   512,140 
 2,435,932   Repurchase agreement dated 1/31/19 with Citigroup Global Markets, Inc., 2.57%, due 2/1/19, proceeds $2,436,106; (collateralized by various U.S. government and agency obligations, 0.00% to 9.50%, due 3/31/19 to 2/1/49, valued at $2,484,651 including accrued interest)   2,435,932 
 2,435,932   Repurchase agreement dated 1/31/19 with Credit Agricole CIB, 2.58%, due 2/1/19, proceeds $2,436,107; (collateralized by various U.S. government and agency obligations, 3.50% to 4.00%, due 3/20/46 to 8/1/48, valued at $2,484,651 including accrued interest)   2,435,932 
 2,435,932   Repurchase agreement dated 1/31/19 with Daiwa Capital Markets America, Inc., 2.57%, due 2/1/19, proceeds $2,436,106; (collateralized by various U.S. government and agency obligations, 0.00% to 6.50%, due 2/7/19 to 9/9/49, valued at $2,484,651 including accrued interest)   2,435,932 
 2,435,932   Repurchase agreement dated 1/31/19 with Merrill Lynch, Pierce, Fenner & Smith, Inc., 2.57%, due 2/1/19, proceeds $2,436,106; (collateralized by various U.S. government and agency obligations, 2.00% to 10.50%, due 2/15/19 to 1/1/49, valued at $2,484,651 including accrued interest)   2,435,932 
Total Short-Term Investments Held As Collateral For Securities On Loan
(Cost: $10,255,868)
   10,255,868 
Total Investments: 101.5%
(Cost: $550,243,176)
   533,787,929 
Liabilities in excess of other assets: (1.5)%   (7,884,217)
NET ASSETS: 100.0%  $525,903,712 

 

Footnotes:

(c) Callable Security - the redemption date shown is when the security may be redeemed by the issuer
Security fully or partially on loan. Total market value of securities on loan is $10,099,766.

 

Summary of Investments
by Sector Excluding
Collateral for Securities
Loaned
  % of
Investments
  Value 
Basic Materials   1.8%  $9,150,975 
Communications   13.0    68,271,310 
Consumer, Non-cyclical   10.0    52,412,816 
Energy   4.4    23,247,777 
Financial   4.0    21,123,821 
Industrial   2.2    11,395,238 
Real Estate Investment Trusts   26.2    137,072,448 
Reinsurance   3.8    19,603,954 
Technology   0.8    4,216,681 
Utilities   33.8    177,037,041 
    100.0%  $523,532,061 

 

The summary of inputs used to value the Fund’s investments as of January 31, 2019 is as follows:

 

   Level 1
Quoted
Prices
   Level 2
Significant
Observable
Inputs
   Level 3
Significant
Unobservable
Inputs
   Value 
Common Stock*  $12,844   $   $   $12,844 
Preferred Securities*   523,519,217            523,519,217 
Repurchase Agreements       10,255,868        10,255,868 
Total  $523,532,061   $10,255,868   $   $533,787,929 

 

* See Schedule of Investments for geographic sector breakouts.

 

See Notes to Schedules of Investments

 

VANECK VECTORS ETF TRUST

NOTES TO SCHEDULE OF INVESTMENTS

January 31, 2019 (unaudited)

 

Security Valuation–The Funds value their investments in securities and other assets and liabilities at fair value daily. Fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants on the measurement date. Securities traded on national exchanges or traded on the NASDAQ National Market System are valued at the last sales price as reported at the close of each business day. Debt securities are valued on the basis of evaluated prices furnished by an independent pricing service approved by the Funds’ Board of Trustees or provided by securities dealers. The pricing services may use valuation models or matrix pricing, which consider: (i) yield or price with respect to bonds that are considered comparable in characteristics such as rating, interest rate and maturity date and/or (ii) quotations from bond dealers to determine current value and are categorized as Level 2 in the fair value hierarchy (as described below). Short-term debt securities with sixty days or less to maturity are valued at amortized cost, which with accrued interest approximates fair value. Money market fund investments are valued at net asset value and are categorized as Level 1 in the fair value hierarchy. Securities traded on national exchanges or traded on the NASDAQ National Market System are valued at the last sales price as reported at the close of each business day. Securities traded on the NASDAQ Stock Market are valued at the NASDAQ official closing price. Over-the-counter securities not included in the NASDAQ National Market System and listed securities for which no sale was reported are valued at the mean of the bid and ask prices. To the extent these securities are actively traded, they are categorized as Level 1 in the fair value hierarchy. The Pricing Committee of Van Eck Associates Corporation (the “Adviser”) provides oversight of the Funds’ valuation policies and procedures, which are approved by the Funds’ Board of Trustees. Among other things, these procedures allow the Funds to utilize independent pricing services, quotations from securities dealers, and other market sources to determine fair value. The Pricing Committee convenes regularly to review the fair value of financial instruments or other assets. If market quotations for a security or other asset are not readily available, or if the Adviser believes it does not otherwise reflect the fair value of a security or asset, the security or other asset will be fair valued by the Pricing Committee in accordance with the Funds’ valuation policies and procedures. The Pricing Committee employs various methods for calibrating the valuation approaches utilized to determine fair value, including a regular review of key inputs and assumptions, periodic comparisons to valuations provided by other independent pricing services, transactional back-testing and disposition analysis.

 

Certain factors such as economic conditions, political events, market trends, the nature of and duration of any restrictions on disposition, trading in similar securities of the issuer or comparable issuers and other security specific information are used to determine the fair value for these securities. Depending on the relative significance of valuation inputs, these securities may be classified either as Level 2 or Level 3 in the fair value hierarchy. The price which the Funds may realize upon sale of an investment may differ materially from the value presented in the Schedules of Investments.

 

The Funds utilize various methods to measure the fair value of their investments on a recurring basis, which includes a hierarchy that prioritizes inputs to valuation methods used to measure fair value. The fair value hierarchy gives highest priority to unadjusted quoted prices in active markets for identical assets and liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). The inputs or methodologies used for valuing securities are not necessarily an indication of the risk associated with investing in those securities. The three levels of the fair value hierarchy are described below:

 

Level 1 - Quoted prices in active markets for identical securities.

 

Level 2 - Significant observable inputs (including quoted prices for similar securities, interest rates, prepayment speeds, credit risk, etc.).

 

Level 3 - Significant unobservable inputs (including each Fund’s own assumptions in determining the fair value of investments).

 

A summary of the inputs and the levels used to value the Funds’ investments and are located in the Schedules of Investments. Additionally, tables that reconcile the valuation of the Funds’ Level 3 investments and that present additional information about valuation methodologies and unobservable inputs, if applicable, are located in the Schedules of Investments.

 

ITEM 2. Controls and Procedures.

 

(a) The registrant’s principal executive and principal financial officers, or persons performing similar functions, have concluded that the registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended (the “1940 Act”) (17 CFR 270.30a-3 (c))) are effective, as of a date within 90 days of the filing date of the report that includes the disclosure required by this paragraph, based on their evaluation of these controls and procedures required by Rule 30a-3(b) under the 1940 Act (17 CFR 270.30a-3(b)) and Rules 13a-15(b) or 15d-15(b) under the Securities Exchange Act of 1934, as amended (17 CFR 240.13a-15(b) or 240.15d-15 (b)).
 
(b) There were no changes in the registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act (17 CFR 270.30a-3(d)) that occurred during the registrant’s last fiscal quarter that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting.

 

ITEM 3. Exhibits.

 

Certifications of principal executive officer and principal financial officer as required by Rule 30a-2(a) under the Investment Company Act of 1940 are attached as Exhibit 99.CERT

 

SIGNATURES

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

(Registrant) VanEck Vectors ETF Trust

 

By John J. Crimmins, Treasurer & Chief Financial Officer, VanEck Vectors ETF Trust

 

Date: March 26, 2019

 

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

By Jan F. van Eck, Chief Executive Officer, VanEck Vectors ETF Trust

 

Date: March 26, 2019

 

By John J. Crimmins, Treasurer & Chief Financial Officer, VanEck Vectors ETF Trust

 

Date: March 26, 2019